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Analyst II - Accounting
298160 Revantage Global Services India Private Limited · Bengaluru, India
About The Role
RESPONSIBILITIES
- Maintain and prepare bank reconciliations for various accounts:
- Monthly ZBA accounts (ensure money that comes in, is transferred immediately out)
- Month-end cash accounts (ensure all money coming in is appropriately recorded by the accounts receivable team)
- Reconcile pre-close costs for project closings, ensuring all costs are appropriately captured.
- Work closely with the accounts receivable team to ensure all bank accounts are reconciled
- Daily Transaction Reconciliation
- Work closely with the accounts receivable team to ensure all transactions are correctly recorded in the appropriate accounting system.
- Surplus cash calculation
- Work closely with the accounting teams to analyze annual audits and calculate if there is any surplus cash available for distribution.
- Accounting entries for construction accounts
- Work closely with the preservation team to book entries related to the construction of new properties.
- Book loan draw entries as appropriate
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