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Chartered Accountant

Job in 242221, Gurugram, Uttar Pradesh, India
Listing for: Mount Talent Consulting Pvt Ltd.
Full Time position
Listed on 2026-08-19
Job specializations:
  • Accounting
    Financial Reporting, Accounting Manager, Accounting & Finance, Senior Accountant
  • Finance & Banking
    Financial Reporting, Accounting Manager, Accounting & Finance
Job Description & How to Apply Below
We are hiring for a  Finance Analyst – Record to Report (R2R)  role with one of the  Fortune 500 organizations , based in  Gurgaon .

Mandatory Requirements:

Qualified  Chartered Accountant (CA)
3.5–6 years  of end-to-end  Record to Report (R2R)  experience
Strong understanding of financial reporting, general ledger, month-end close, reconciliations, and compliance

Experience:

3.5–6 years

Location:

Gurgaon
If you have relevant candidates or would like to refer someone, please share their profiles at   .

Roles and Responsibility

Bachelor’s / master’s degree and CA, with experience and strong interest in accounting concepts.
4-6 years of relevant experience in financial accounting and reporting, fixed assets and lease accounting, accrual/prepaid accounting and reconciliations, month end/year end close, accounting systems and procedures, consolidation of financials, audit controls and governance etc.
Prior experience in taxation would be preferred.
Willingness to provide a wide range of financial services from routine tasks to intricate financial management data
Oracle experience a plus (GL, Fixed Assets and AP), Hyperion, SAP Business Objects, MS Access and other comparable ERP systems experience preferred
MS Excel, PowerPoint, Word proficiency and adaptable to different software applications
Advanced Excel skills and/or experience with other analytical tools (such as Tableau, Alteryx, etc.) will be added advantage
Support Financial statement and related schedule preparation for Indian Legal entity.
Support Indirect tax activities.
Execute monthly accounting tasks, including revenue and expense recording, ledger management, accruals, and journal entries, ensuring compliance with relevant standards.
Review and reconcile financial statements, focusing on consolidation, accruals, and variance analysis.
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