13 days old

CORP_Global Supplier Services_Generic_Global_JPMC

JPMorgan Chase & Co.
Bengaluru, KA 560002
  • Job Code
    210154591
•Daily perform reconciliations of AP liability accounts, Balance sheet accounts, Indirect Tax accounts, Bank accounts & other control accounts.•Perform key control account reconciliations to ensure accurate accounting & completeness in transfer of accounting from product systems to the general ledger.•Partner with the relevant line of business stakeholders in resolving any issues, end users are experiencing with processing of corporate card applications or processing of expense claims.•Support the accounting services & payment teams to ensure all transactions are paid and accounted for appropriately.•Participate in working groups supporting strategic platform changes & process improvement initiatives.•Responsible for employee engagement, satisfaction & welfare through the employee life cycle.•Partner with operations groups globally to ensure consistency of process delivery, customer experience & control environment.
Keyword: card%20services

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Posted: 2021-09-07 Expires: 2021-10-07
Sponsored by:
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CORP_Global Supplier Services_Generic_Global_JPMC

JPMorgan Chase & Co.
Bengaluru, KA 560002

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