Process Developer - UK Finance
Gurgaon, India
6d ago


  • Accounting for transaction processed via Lloyd’s ( LCA messages ) across Pembroke managed syndicates; including preparing and uploading the journals into the accounting ledger
  • Prepare journal entries in accordance with Ironshore accounting policies
  • Prepare monthly schedules for accruals, prepayments, fixed assets and upload the relevant journals into the accounting ledger
  • Prepare balance sheet account reconciliations, clearly identifying reconciling items and ensuring resolutions are achieved
  • Support the accounting for insurance technical transactions across the managed syndicates
  • Managing the AP mailboxes and getting invoices booked on Kiss-flow with respective accounting analysis codes.
  • Qualifications

    Minimum qualifications

  • CA (Intermediate), MBA Finance, M.COM
  • Strong analytical skills
  • Advanced user of Excel
  • Preferred qualifications

  • Insurance accounting background would be an added advantage
  • Word and PowerPoint
  • Good communication skills, interpersonal, verbal and written communication skills (in English)
  • Ability to handle varied volumes of workloads and to reach targets and deadlines on a timely basis
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