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FE
Senior Executive Claims Payment
Fa Ewjt Saasfaprod1 · Noida, Uttar Pradesh, India
About The Role
- Prepare GL Reconciliation and Record journal entries accurately and in accordance with applicable policies.
- Perform Bank reconciliations; carry out variance analysis to identify the reasons for any fluctuations between two period’s GL balances.
- Recording, reporting, and controlling of financial transactions, ensuring that all entries are properly accounted for the said period and reported accurately.
- Good understanding of Insurance Accounting and it’s terminologies
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