AR - Cash Application
Tata Consultancy Services · Chennai, Tamil Nadu, India
Tata Consultancy Services · Chennai, Tamil Nadu, India
**Role:** Team Member AR - Cash Application **Skill:** Finance and Accounts **Experience:** 8-10 Years **Location:** TCS Chennai Base office Shift: **UK Shifts** **Education:** • Minimum 15 years of regular, full-time education (10 + 2 + 3) • Non-technical graduation and/or master’s in finance & accounts stream - B. Com, M. Com • Bachelor's/Master’s in finance & accounting or equivalent with ERP certification / proficient **Must Have:** - AP, AR, Accounts Payable, Accounts Receivable, Cash Application, Invoice Processing, Billing & - Collections, Financial Reconciliation, Month End Close, SAP S4HANA, IFRS, GAAP, Accounting Standards, - Advanced Excel, SOX, Compliance, Client Communication - The position requires a strong foundation in customer payment processing, cash application, account - reconciliations, and SAP S/4HANA Order-to-Cash (OTC) processes **Good to Have:** - Oracle, Transition Experience, Automation, Process Improvement, T&E Audit, Internal Quality Review, - Vendor Management, Procurement Process, SAP Certification. Strong Accounts Receivable (AR) experience, including: o Billing o Cash Application, the position requires a strong foundation in customer payment processing, cash application, account reconciliations, and SAP S/4HANA Order-to-Cash (OTC) processes. o Collections Hands-on SAP knowledge, excel knowledge Strong communication skills **Role and Purpose:** The AP/AR-accountant is responsible for the accurate, timely, and complete execution of both transactional accounting tasks and general ledger activities. The role ensures reliable financial data, contributes to efficient end-to-end processes, supports and participates actively to the monthly and annual closing cycles. It requires both operational accuracy and analytical insight. **Key Responsibilities** Accounting & Closing processes • Perform and verify customer and supplier postings. • Manage customer and invoice creation amongst different businesses. • Monitor outstanding customer and supplier balances and perform ageing analyses. • Prepare and execute payments and follow up on payment methods. • Record doubtful debtors, refunds, and corrections. • Support monthly, quarterly, and yearly closings by preparing AP/AR closing entries and schedules (e.g. reconciliations, and open-item reviews). • Perform reconciliations of AP/AR-related accounts. • Prepare reports on payment flows and open items, including related analyses. • Check the consistency of financial figures, proactively identify deviations or unclear items, and report them to the accountant/team coach/key user/process owner; anticipate errors and bottlenecks and contribute to solutions to prevent incorrect postings. • Support reporting activities and variance analyses.