Job Description
• Graduate/post-graduation accounting qualification
• 2-4 Years of relevant experience
• Strong communication skills
• Self-driven and able to take end-to-end ownership
• Keen to question and challenge the existing processes with a view of creating reporting efficiencies and improvements.
• Can work with multiple data sets, various systems and Excel
• Eager to take up fresh challenges and support the team wherever required
• Comfortable to work with non-accounting teams for regular activities and projects
Key Responsibilities
Balance Sheet Review & Control
• Perform the month end close process including but not limited to stock verification and valuation, reconciliation with source systems for balance sheet areas (such as loans, debtors, creditors etc), P&L reconciliation, intercompany & related party balance reconciliations and confirmation.
• Ensure strong control framework by implementing and maintaining effective internal controls
• Address ad hoc requests from various stakeholders and counterparts like tax, consolidation and regional accounting teams
• Coordinate with multiple teams on matters relating to intercompany settlements, transfer pricing, legal, compliance
• Analyse impact of various journals and processes on trial balance.
MIS reporting
• Inter-co, Portfolio and Broker reconciliation
• Debtor/Creditor reconciliation
• Debtor/Creditor reporting (age-wise)
• VAT reconciliation and reporting
• Inter/Intra-co invoicing and reallocation of costs/income
• Daily suspense balance clearing and reporting
Audit
• Liaise with external auditors during the group & statutory audits
• Coordinate with various functions to provide auditable support & evidence to external auditors
• Prepare disclosure schedules and audit documentation
Change Management
• Drive change projects to support any accounting policy changes or new reporting requirements for the legal entities in scope
• Challenge the current processes for improvement and constantly review processes for efficiencies
• Steer a wide variety of projects in the transformation of the trading and GL systems from the design, functional requirements and testing to supporting implementation
Key Relationships and Department Overview:
· Business Controllers
· Deals Desk (Product Control team)
· Operations /Chartering (logistics)
· Trade Finance
· External Audit teams
Department:
Refined Metals Management Accounting
Entity:
Trafigura Global Services (TGS) is the fully owned subsidiary of Trafigura, a Global In-House Delivery Center, set-up for aggregating Middle and Back office functions critical to support our trading life cycle.
The entity has 600+ employees, adopts best in class technology and practices enabling operations across Europe, Africa , Middle East and Asia-Pacific
💡 Quick Summary
Seeking a career-building opportunity? The Analyst | Accounting Operations position is now open for candidates interested in the Accountant Jobs sector. This role in Mumbai offers a professional environment and growth potential.
Requirement Snapshot: Candidates should possess basic communication skills, a proactive attitude, and the ability to work in a team. Experience in Accountant Jobs is a plus.
