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We are seeking a detail-oriented professional to support Business-as-Usual (BAU) activities within the CFSL Working Capital function as part of Qatar Service Delivery. Based in Ahmedabad and reporting to a Manager, this role focuses on delivering accurate and timely accounting operations, supporting reconciliations, and collaborating with multiple stakeholders to ensure service quality and financial integrity.
Job Responsibility
Perform operational accounting activities related to fixed assets, general ledger, and inventory
Validate accuracy of system integrations and financial data flows
Coordinate effectively with internal stakeholders across processes and functions
Support manual reconciliation activities to ensure data accuracy and completeness
Post manual journal entries in line with accounting policies and controls
Requirements
An individual with basic accounting knowledge and a clear understanding of fixed assets and inventory processes
Comfortable working with spreadsheets, with practical proficiency in Microsoft Excel
A clear and confident communicator, able to collaborate with diverse stakeholders
Qualified or part-qualified with CA Inter or an MBA in Finance
Organised, detail-focused, and able to manage routine operational activities with consistency
What we offer
Exposure to end-to-end working capital and service delivery processes within a global organisation
Opportunities to collaborate with cross-functional and international stakeholders
A structured environment that builds strong foundations in finance operations and compliance