Puesto, ciudad o estado.

Hace 3 sem

96934 Accounting Services Analyst II

$15,000 Mensual

Conduent de México SA de CV en

Hace 3 sem

96934 Accounting Services Analyst II

$15,000 Mensual

Conduent de México SA de CV

en

Sobre el empleo

Subcategoría: Cuentas por pagar
Educación mínima requerida: Técnico

Detalles

Contratación:Permanente
Espacio de trabajo:Presencial

Descripción

Bilingual accounts payable analyst to perform statement reconciliations.



Job Track Description:

  • Requires relevant expertise in a professional, sales, or technical area through formal education.
  • Performs technical-based activities.
  • Contributes to and manages projects.
  • Uses deductive reasoning to solve problems and make recommendations.
  • Interfaces with and influences key stakeholders.
  • Leverages previous knowledge and expertise to achieve results with teams and can complete work self-guided.
  • College or university degree required.

General Profile

  • Requires knowledge and experience in own field.
  • Will acquire on-the-job knowledge and skills.
  • Develops an understanding of the company, processes, and customers.
  • Uses existing procedures to solve routine or standard problems.
  • Receives moderate guidance and direction from others.

Functional Knowledge

  • Requires expanded conceptual understanding of theories, practices, and procedures. 

Business Expertise

  • Uses an understanding of key business drivers to accomplish work.

Impact

  • Impacts team through quality of service and information provided.
  • Follows standardized procedures and practices to achieve objectives and meet deadlines.

Leadership

  • No supervisory responsibilities.
  • Provides informal guidance to new team members.

Problem Solving

  • Uses existing procedures and technical experience to solve problems.

Interpersonal Skills

  • Exchanges complex information and ideas effectively.

Responsibility Statements

  • Tracks and reports business-critical project and people metrics for client operations.
  • Finalizes the intercompany reconciliation process.
  • Liaises with AP and the business.
  • Prepares monthly and quarterly balance justifications and documentation.
  • Prepares customized reports and dashboards.
  • Keeps updated data readily available for presentations or reporting.
  • Performs other duties as assigned.
  • Complies with all policies and standards.

ID: 18380394