India jobs / Reconciliation / Navi Mumbai

Reconciliation jobs in Navi Mumbai

Explore 15 current openings. Compare roles, companies, locations, and work options, then open any job to view the full details.

Current openings

Showing 20 jobs
  1. Senior Reconciliations Accountant

    Dow Chemical Canada ULC

    Dow Chemical India Finance team ensures accurate P2P ledger reconciliations and compliance. The Senior Reconciliations Accountant monitors and clears aging GL items, collaborates with operations to resolve open items, …

    Navi Mumbai,IN,IndiaOn-siteFull-time
    Active
  2. Reconciliations Accountant

    Dow Chemical Canada ULC

    Dow Chemical India – Finance Operations team ensures accurate financial reporting and compliance across the enterprise. The Reconciliations Accountant reconciles P2P accounts, reviews aging items, performs month‑end …

    Navi Mumbai,IN,IndiaHybridFull-time
    Active
  3. Record to Report Ops Associate

    Accenture

    Finance Operations vertical at Accenture focuses on delivering accurate financial outcomes through data collection, analysis, and transaction reconciliation. In this role you will perform month‑end accounting, journal …

    Navi Mumbai, IndiaFull-time
    Active
  4. Associate Manager

    SS&C Technologies

    Finance Operations team at SS&C Technologies prepares fund reports, cash forecasts, NAVs, yields and reconciliations for clients. The Associate Manager leads a technical staff, oversees trial balance preparation, fund …

    Navi Mumbai,Maharashtra,IndiaOn-siteFull-time
    Active
  5. Associate Manager

    SS&C Technologies

    Fund Accounting team at SS&C Technologies prepares comprehensive fund reports, including cash forecasts, NAVs, yields, and reconciliations, while managing trial balances and fund record reconciliations. The Associate …

    Navi Mumbai, Maharashtra, IndiaOn-siteFull-time
    Active
  6. Associate Manager

    SS&C Technologies

    Associate Manager at SS&C Technologies responsible for preparing comprehensive fund reports for clients, including cash forecasts, Net Asset Values (NAVs), yields, distributions, and reconciliations. Oversees updates …

    Navi Mumbai, Maharashtra, IndiaOn-siteFull-time
    Active
  7. Senior Associate

    SS&C Technologies

    Responsible for daily reconciliation of cash, positions and transactions for equity, corporate bond, MBS, derivatives, repo, bank loan and private securities. Analyze and resolve reconciliation differences, coordinate …

    Maharashtra, Navi Mumbai, IndiaOn-siteFull-time
    Active
  8. Senior Associate

    SS&C Technologies

    Senior Associate at SS&C Technologies in Navi Mumbai, India. The role focuses on daily reconciliation of cash, positions, and transactions across equity, corporate bond, MBS, derivatives, repo, bank loan, and private …

    Maharashtra, Navi Mumbai, IndiaOn-siteFull-time
    Active
  9. Senior Accounts Receivable Specialist

    Fugro

    Senior Accounts Receivable Specialist responsible for managing full AR process, invoicing, collections, reconciliation, and reporting. Proficient in Deltek and Microsoft Office, with strong analytical, communication, …

    Navi Mumbai, IndiaHybridFull-time
    Active
  10. Associate Manager

    SS&C Technologies

    SS&C Technologies is a leading financial services and healthcare technology company. The Associate Manager will oversee daily cash and position reconciliations across equities, bonds, derivatives and other securities, …

    Navi Mumbai, Maharashtra, IndiaOn-siteFull-time
    Active
  11. Associate

    SS&C Technologies

    Operations team at SS&C Technologies responsible for daily reconciliation of cash, positions and transactions across equities, bonds, derivatives and other securities. The role captures trades, confirms with …

    Navi Mumbai, Maharashtra, IndiaOn-siteFull-time
    Active
  12. Order to Cash Operations Analyst

    Accenture

    Finance Operations vertical at Accenture focuses on optimizing cash flow through end‑to‑end Order to Cash processes. The analyst collects operational data, performs cash reconciliations, manages collections and dispute …

    Navi Mumbai,IndiaOn-siteFull-time
    Active
  13. Record to Report Ops Associate

    Accenture

    Finance Operations team at Accenture focuses on delivering accurate financial outcomes through data collection, analysis and transaction reconciliation. The Record to Report Ops Associate will support the R2R process by …

    Navi Mumbai,IndiaOn-siteFull-time
    Active
  14. Manager

    SS&C Technologies

    Finance Operations team at SS&C Technologies prepares fund reports, cash forecasts, NAVs and reconciliations for clients. The Manager leads a group of professionals, oversees trial balance preparation, and coordinates …

    Navi Mumbai,Maharashtra,IndiaOn-siteFull-time
    Active
  15. Senior Accounting Specialist

    Dow Chemical Canada ULC

    Senior Accounting Specialist at Dow in Navi Mumbai responsible for US GAAP compliance, monthly/quarterly/annual closing, reconciliations, flux analysis, Blackline use, cost flow and product costing reviews, variance …

    Navi Mumbai, Maharashtra, IndiaOn-siteFull-time
    Active
  16. Manager, OTC Derivatives

    SS&C Technologies

    OTC Derivatives Team at SS&C Technologies manages daily reconciliation of cash, positions and transactions across equities, bonds, MBS, derivatives, repos, and loans. The manager leads a technical staff, resolves …

    Navi Mumbai, Maharashtra, IndiaOn-siteFull-time
    Active
  17. Associate

    SS&C Technologies

    Operations team at SS&C Technologies handles daily reconciliation of cash, positions, and transactions across equities, bonds, derivatives, and other securities. The role processes trade uploads, monitors failures, …

    Navi Mumbai, Maharashtra, IndiaOn-siteFull-time
    Active
  18. Order to Cash Operations Senior Analyst

    Accenture

    Finance Operations vertical at Accenture focuses on optimizing end‑to‑end Order to Cash processes to improve cash flow and customer satisfaction. The Senior Analyst conducts detailed analysis of billing, revenue …

    Navi Mumbai, IndiaFull-time
    Active
  19. Accounting Specialist

    Dow Chemical Canada ULC

    Accounting Specialist at Dow Chemical Canada ULC in Navi Mumbai responsible for maintaining accurate financial records per US GAAP and local regulations. Handles monthly, quarterly, annual closings, reconciliations, …

    Navi Mumbai, IndiaOn-siteFull-time
    Active
  20. Controllers Coordinator, Invoicing

    Dow Chemical Canada ULC

    Finance Operations team at Dow Chemical India manages invoicing and financial reporting. The Controllers Coordinator, Invoicing ensures accurate invoice creation, validation, and distribution, performs account …

    Navi Mumbai, IndiaFull-time
    Active