Company Description
WNS (Holdings) Limited (NYSE: WNS), is a leading Business Process Management (BPM) company. We combine our deep industry knowledge with technology and analytics expertise to co-create innovative, digital-led transformational solutions with clients across 10 industries. We enable businesses in Travel, Insurance, Banking and Financial Services, Manufacturing, Retail and Consumer Packaged Goods, Shipping and Logistics, Healthcare, and Utilities to re-imagine their digital future and transform their outcomes with operational excellence.We deliver an entire spectrum of BPM services in finance and accounting, procurement, customer interaction services and human resources leveraging collaborative models that are tailored to address the unique business challenges of each client. We co-create and execute the future vision of 400+ clients with the help of our 44,000+ employees.
Job Description
- Process all reconciliations and journal postings for accurate and timely submission 2) Manage all month-end activities as per the calendar and coordinate with respective onshore and offshore team members 3) Good knowledge of different financial products such as Fixed Asset, Revenue Expenditure and Capital Expenditure 4) Preparing VAT JE and reconciliation. Payroll reconciliations. Clear open items after doing reconciliation with external reports 5) Bank & Fixed Asset ledger reconciliation 6) Intercompany reconciliations weekly & monthly settlements 7) Validate the RI premiums reports and reconciliation 8) Prepare P&L, Balance sheet and month on month variance analysis 9) JE for the RI premiums, Investments, Fixed Assets, Payroll, and deductions, IBNR Journal entries 10) Treatment of currency/FX impacts on P&L and monitor the same 11) Identify process efficiencies and participate in process improvements / Automation initiative. 12) Mirror client time zone and accommodate extended working hours during period close
Qualifications
- 4-6 Years of experience in the London Market with Leading Broker and an International Specialty Insurer and Reinsurer. Experience in end-to-end R2R cycle for Insurance service provider 2) Excellent knowledge of London Market requirements and end-to-end R2R operations (JE, Reconciliations, Financial statements variance analysis, Budget variance analysis. Expense, payroll JE and reconciliations. VAT returns JE validations and reconciliations with returns 3) Graduate/Postgraduate with a good academic background (Graduate, Postgraduate in Commerce) 4) Prior experience with a syndicate preferred