Fixed Assets and Billing Accounting - Associate in Bombay, भारत
NTT DATA Services
Bombay, भारत
Fixed Assets and Billing Accounting – Associate
Location: Mumbai
POSITION SUMMARY
The Fixed Assets and Billing Accounting Team is a part of the Office of the CFO and Controllership organization. The Associate will be a member of a team of professionals responsible for the end-to-end accounting of fixed assets and billing/accounts receivable processes. The Associate will ensure accurate asset lifecycle management, timely billing, and effective receivables monitoring while supporting business partners with reporting and analysis.
KEY RESPONSIBILITIES AND DUTIES
Fixed Assets
Manage the end-to-end fixed assets lifecycle including capitalization, depreciation, transfers, disposals, and reconciliations
Maintain the fixed assets register with accuracy and timeliness
Perform monthly and quarterly close activities related to fixed assets, including journal entries and variance analysis
Ensure all asset additions are properly recorded in accordance with company capitalization policies
Coordinate with project teams and business partners to track capital expenditures and ensure timely capitalization of completed projects
Monitor and reconcile fixed asset general ledger accounts; liaise with cross-functional teams to research and resolve discrepancies
Support internal and external audit requests related to fixed assets
Assist with researching related technical accounting issues to ensure proper treatment in accordance with GAAP or regulatory requirements
Project Accounting: project setup and maintenance, project codes/WBS, project budgets and cost tracking, cost allocation, time & expense charging, capitalization of project costs, project-to-asset lifecycle, project billing, project revenue/cost recognition, project close and project profitability/variance reporting.
Controls & Reporting: reconciliations, journals, month-end close, audit support, reporting and controls across FA, Billing and Project Accounting.
ERP/Transformation: experience with relevant ERP project-accounting modules and process improvement, automation, migration, UAT and implementation exposure where applicable.
Billing and Accounts Receivable
Generate and review invoices ensuring accuracy and completeness prior to issuance
Support cash application processes and monitor outstanding receivables
Follow up on aged items and coordinate with internal stakeholders to resolve disputes or discrepancies
Reconcile AR sub-ledger balances to the general ledger
Assist with month-end AR close activities, including journal entries and account reconciliations
Prepare aging reports and analysis for management review
General
Participate in special projects and ad hoc reporting as needed
Cross-train on various accounting functions within the team
Maintain written documentation of policies, procedures, processes, and controls within Fixed Assets and Billing areas
Become thoroughly familiar with assigned general ledger accounts, business processes, and applicable technical accounting areas
Required Skills:
Bachelor's degree in Accounting, Finance, or a related field
5 to 7+ years of relevant experience in fixed assets accounting, billing/AR, or a broader general accounting role
Experience with financial accounting systems and ERP platforms such as PeopleSoft, SAP, Oracle, or similar
Strong proficiency in MS Excel
Excellent written and verbal communication skills, proven ability to work as an effective team player and collaborate across functions
Demonstrated strength in analytical and problem-solving skills
Ability to manage multiple competing priorities and achieve targeted outcomes
Highly organized, detail-oriented, self-motivated, and positive work ethic
Ability to take direction and work independently
Preferred Skills:
Exposure to both fixed assets and billing/AR processes preferred
Working knowledge of VBA/Macros and Power BI is a plus
Familiarity with capital project accounting and CAPEX tracking
Previous experience with PeopleSoft or similar ERP systems
Understanding of internal controls and audit support processes
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