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SPE-Accounting

00070101681



Job Summary

This hybrid night shift role for a Specialist Professional in Accounting focuses on bank accounting for a global organization ensuring accurate recording reconciliation and reporting of complex financial transactions. The candidate will support compliance with internal controls and external regulations contribute to timely close activities and collaborate with finance partners to deliver high quality insights that strengthen organizational financial integrity and support sustainable busine


Responsibilities

  • Perform detailed bank accounting activities including recording daily cash movements and validating postings to ensure accurate representation of financial positions across multiple entities
  • Execute thorough bank reconciliation processes by comparing ledger balances with bank statements and promptly resolving discrepancies to maintain reliable cash and liquidity information
  • Maintain comprehensive documentation for all bank accounting transactions to support audits regulatory reviews and internal control assessments while enabling transparent financial operations
  • Coordinate closely with finance and accounting teams to provide bank transaction data and variance analysis that supports timely month end and year end close activities in a hybrid work environment
  • Prepare structured schedules and reconciliations required for record to report activities ensuring that bank related entries flow correctly into general ledger and financial statements
  • Support continuous improvement of bank accounting procedures by identifying process gaps proposing enhancements and adopting standardized practices aligned with global finance policies
  • Provide clear explanations of bank accounting variances to internal stakeholders translating complex figures into understandable insights that support effective business and cash management decisions
  • Monitor compliance with company policies and applicable accounting standards in all bank accounting activities helping to reduce risk and protect organizational assets during night shift operations
  • Assist in the preparation of cash flow related reports by consolidating bank data and highlighting trends that inform treasury and finance teams about liquidity planning and operational funding needs
  • Contribute to system testing and validation during finance tool updates by verifying bank accounting scenarios and ensuring that data flows are accurate reliable and aligned with reporting requirements
  • Collaborate with cross functional partners in finance and operations to address bank related queries and to ensure that incoming and outgoing payments are recorded correctly and promptly
  • Utilize productivity tools and accounting systems to manage work queues prioritize reconciliation tasks and meet strict reporting deadlines while maintaining high data quality standards
  • Support organizational purpose by ensuring that financial information related to banking activities is trustworthy enabling ethical decision making responsible growth and positive impact on customers and communities

  • Qualifications

  • Demonstrate solid practical experience in bank accounting typically between two and four years including hands on exposure to reconciliations transaction recording and issue resolution
  • Apply strong understanding of core accounting principles to bank postings and general ledger activity ensuring that entries are accurate supported and aligned with established standards
  • Bring knowledge of record to report processes including close activities reconciliations and reporting cycles as a beneficial domain skill that enhances overall contribution to finance operations
  • Show familiarity with finance and accounting concepts such as cash management accruals and balance sheet integrity which supports effective analysis of bank transactions and related accounts
  • Use financial systems and spreadsheets proficiently to extract data perform reconciliations and prepare schedules demonstrating comfort with technology in a hybrid working model
  • Communicate clearly in written and verbal form with finance colleagues auditors and stakeholders to explain bank accounting matters and support cooperative resolution of issues
  • Manage tasks systematically during night shifts by organizing workloads meeting deadlines and maintaining focus on accuracy and control despite time sensitive demands
  • Display commitment to ethical conduct and strong attention to detail which helps safeguard company funds improves data reliability and reinforces trust in financial reporting processes

  • Certifications Required

    Certified Bank Auditor or similar banking and accounting certification preferred


    关于高知特 (Cognizant)
    高知特(Cognizant)(纳斯达克代码:CTSH)作为一家AI Builder和相关技术服务提供商,致力于通过打造全栈AI解决方案,帮助企业将人工智能投资转化为实际价值。公司凭借深厚的行业经验、流程优化和工程技术专长,将企业独特的业务场景融入科技系统,赋能组织释放人才潜能,推动切实成果,并帮助全球企业在瞬息万变的环境中保持领先。如需了解更多详情,敬请访问 cognizant.ai 或关注@cognizant。

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