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APAC Corporate Accounting - II

Thoughtfocusinc · Bangalore · India · On-site

Posted Oct 7, 2026

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Key Responsibilities Perform month-end and quarter-end closing for Asia entities, including journal entries, accruals, prepayments, foreign exchange adjustments, and balance-sheet reconciliations. Prepare regional management accounts, financial schedules, cash-flow reports, and budget-versus-actual variance analysis. Calculate Asia intercompany service charges, transfer-pricing mark-ups, management charges, and periodic true-ups. Prepare and reconcile cross-border intercompany invoices, receivables, payables, and settlements. Process fund, deal, SPV, portfolio company, and management company recharges in accordance with approved expense-allocation policies. Review and process Asia vendor invoices and employee expense claims, ensuring correct entity, country, currency, tax, fund, and deal coding. Initiate and monitor multi-currency payments through Kyriba in accordance with regional authorization and maker-checker controls. Reconcile corporate credit card transactions against SAP Concur claims, receipts, and accounting records. Support regional audits, tax reviews, GST/VAT, withholding tax, and statutory reporting requirements. Coordinate with Asia Fund Accounting, Investment, Tax, Treasury, Legal, and local Finance teams. Required Application Knowledge NetSuite – General ledger, accounts payable, intercompany accounting, reconciliations, and reporting. SAP Concur – Employee expenses and corporate credit card reconciliation. EAS – Fund/deal expense allocation and recharge processing. Kyriba – Multi-currency payments, approvals, and treasury operations. Advanced Microsoft Excel skills. Qualifications Degree in Accounting, Finance, or Commerce; CA Inter, CMA, ACCA, CPA, or MBA Finance is preferred. Relevant experience within an Asia-focused private equity fund house, alternative asset manager, investment manager, or fund administrator. Experience handling multiple Asia entities, jurisdictions, currencies, and cross-border transactions. Strong knowledge of private equity structures, intercompany accounting, expense allocation, financial controls, and closing processes