Senior Financial Analyst

Saisystems Technology

Pune District

On-site

INR 800,000 - 1,200,000

Full time

14 days+

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Job summary

Saisystems Technology in Pune, Maharashtra, invites an experienced accounting professional to lead bank reconciliations, journal entries, and financial reporting support. You will ensure accuracy, analyze discrepancies, and mentor junior analysts while maintaining audit-ready documentation in accordance with IFRS/GAAP.

The role requires strong Excel and ERP skills, attention to detail, and the ability to manage multiple priorities in a fast-paced environment.

Qualifications

  • Bachelor's degree in Accounting, Finance, or related field.
  • 24 years of hands-on experience in bank reconciliation and journal entries.
  • In-depth knowledge of accounting principles, practices, and financial analysis.
  • Proficiency in financial software and tools (ERP systems, Excel).
  • Strong analytical and problem-solving skills with attention to detail.

Responsibilities

  • Perform and review monthly bank reconciliations for multiple company accounts.
  • Match and reconcile bank statements with internal financial records.
  • Investigate and resolve discrepancies between bank statements and the general ledger.
  • Track and monitor outstanding deposits, checks, and electronic transfers.
  • Prepare and post accurate journal entries and ensure proper classification.
  • Maintain general ledger and assist in month-end/year-end closing procedures.
  • Assist in preparation of monthly financial schedules and reports.
  • Support audits with documentation and reconciliations.
  • Develop and improve data analysis processes and SOPs.

Skills

Bank reconciliation
Journal entries
Financial analysis
ERP systems
Excel
Attention to detail
Leadership
Communication skills

Education

Bachelor's degree in Accounting or Finance
Master's/MBA in related field

Tools

ERP systems
Financial software

Job description

Role & responsibilities
Bank Reconciliation:

Perform and review monthly bank reconciliations for multiple company accounts.

Match and reconcile bank statements with internal financial records.

Investigate and resolve discrepancies between bank statements and the general ledger.

Track and monitor outstanding deposits, checks, and electronic transfers.

Ensure accuracy and completeness of task documentation.

Detect irregularities, elevate suspected fraudulent activities, and recommend resolution strategies.

Maintain thorough documentation for audit and compliance purposes.

Journal Entry:-

Prepare and post accurate journal entries for various financial transactions.

Ensure proper classification and coding of transactions as per chart of accounts.

Maintain and update the general ledger with accurate account balances.

Assist in the month-end and year-end closing procedures.

Financial Reporting Support:

Assist in preparation of monthly financial schedules, and reports.

Compile and analyze financial data to support planning and decision-making.

Ensure compliance with accounting principles, regulations, and standards.

Support internal and external audits by providing necessary documentation and reconciliations.

Assist in the development and improvement of data analysis processes.

Process Improvement and Documentation:

Evaluate and enhance bank reconciliation and journal entry procedures.

Streamline processes to improve efficiency and accuracy.

Develop and maintain SOPs and process documentation in line with compliance and audit standards.

Implement best practices and stay updated with industry trends.

Collaborate with the internal team and cross-functional teams as necessary.

Participate in meetings to discuss accounting issues and provide insights.

Provide functional support and mentorship to junior analysts on technical accounting areas.

Review their work, provide feedback, and assist in professional development.

Maintain a positive and solution-oriented team environment.

Participate in training, onboarding, and internal knowledge-sharing initiatives.


Preferred candidate profile

Bachelors degree in Accounting, Finance, or a related field or Master's/MBA

24 years of hands‑on experience in particularly bank reconciliation and journal entries.

In‑depth knowledge of accounting principles, practices, and financial analysis.

Proficiency in financial software and tools (e.g., ERP systems, Excel).

Strong analytical and problem‑solving skills, with an attention to detail and accuracy.

Excellent understanding of financial reporting standards and compliance requirements.

Leadership abilities with the capacity to guide and mentor junior team members.

Effective communication and interpersonal skills.

Ability to manage multiple priorities, meet deadlines, and work independently.

Professionalism, integrity, and confidentiality in handling sensitive financial information.

Proven track record of process improvement and implementation of best practices.

Maintain adherence to all process‑level SLAs by monitoring daily tasks and ensuring timely completion of reconciliations and journal postings.

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