Job Description
Greetings from Access Healthcare!
Access Healthcare provides business process outsourcing and applications services, and
robotic process automation tools to healthcare providers, payers, and related service providers. We operate from 19 delivery centers in the US, India and the Philippines, and our 27,000+ staff is committed to bringing revenue cycle excellence to our customers by leveraging technology, emerging best practices, and global delivery.
Experience : 2+ years
Notice period: Immediate to 15 days
Shift: U.S Shift (6:00 PM to 3:00 AM) U.S Shift, Cab facility will be provided by the company pickup/drop
Job Location: Chennai, Ambattur (Work from Office)
Job Description :
To provide end to end support in month end activities, financial reporting's and touch base with management/client on reporting aspects on regular basis. Preparation of monthly task calendars, performing and monitoring activities within timelines. Conducting training and assessing teams performance for seamless functioning of BAU.
Duties & Responsibilities:
- Prepare and furnish monthly reports and reconciliations, with stakeholders adhering to policies and procedures inclusive of internal controls.
- Responsible for all Billing - calculation of management fee and creation of invoice which is sent to corporate.
- Assist the supervisor with month-end processes and financial reporting as needed.
- Perform cash management functions, initiate, and post journal entries, research & resolve issues as needed.
- Analyze expenses and prepare accruals. Understand how to calculate and remit sales tax for certain regions.
- Review income and calculate management fees on a monthly basis.
- Review and support the accounts payable workflow, along with expense reimbursements.
- Analyze cash balances and select invoices for payment.
- Performing Accounts receivable aging, reconciliation, and reporting
- Booking and analyzing of fixed assets, depreciation and prepaid expenses for properties that book on this basis.
- Real-time updation and maintenance of the month end close checklist.
- Regular communication to monitor early identification of escalations in critical activities to reduce any risks
- Perform monthly general ledger to subledger balance sheet account reconciliations, and support general ledger account analysis
- Prepare audit-related requests and other duties as assigned
- Formulate detailed process map and documentations(SOPs)
EXPERIENCE:
- Should have 1+ years relevant working experience.
- Experience in Multi-family, Student housing & affordable housing property management and accounting
- Proven organizational skills with attention to detail and able to multi-task.
SAVVY SKILL:
- Experience with ERPs Yardi, Entrata & Real Page
- Proficient with MS office, PowerPoint & Visio
- JIRA, Macros and Power BI will be an added advantage
Interested candidates with relevant experience please share your updated resume to vi********1@ac*************e.com or call at HR Vignesh - 9677154***
Job Classification
Industry: BPM / BPO
Functional Area / Department: Finance & Accounting
Role Category: Finance
Role: Finance - Other
Employement Type: Full time
Contact Details:
Company: Access Healthcare
Location(s): Chennai
Keyskills:
RTR
Journal entries
Month end reporting
Intercompany Reconciliation
General Ledger
Month End Closing
R2R
Bank Reconciliation Statement