Citi BSC Analyst 3 in Mexico
Primary Location: Mexico,Distrito Federal,México
Education: Bachelor's Degree
Job Function: Finance
Shift: Day Job
Employee Status: Regular
Travel Time: No
Job ID: 17035041
The job purpose is to perform Information analysis to make sure accounting is properly prepared in compliance with local & US GAAP accounting rules, supported by a continuously monitoring of the efficient performance of Full Suite.
Also, he / she will work jointly with FP&A areas to ensure the proper mapping of the Financial information for the Credit Cards Managed Segments, same as the deposits products.
Be the responsible of the proper flow information since the General Ledger fed by the Product Processors and manual adjustments, which finally is shown in the Managerial Books (Pearl).
In case new products or Product Processors are launched, he will support Full Suite team in which should be the proper way to report them.
Jo b Responsibilities:
Performs analysis of the monthly, quarterly and anual accounting information of the Credit Cards Managed Segment to validate the integrity of financial statements.
Communicates to the necessary areas the accounting changes, special business days and new product launching which are related to Credit Cards Managed Segments, as well as deposit accounts.
Keeps & monitors controls over the accounting and financial processes that supports the sign off on completeness, accuracy and integrity of actuals.
Performs Information analysis to make sure accounting is properly prepared in compliance with local &US GAAP accounting rules.
Works jointly with FP&A areas to ensure the proper mapping of the Financial Information for the Credit Cards Managed Segments and the deposits products.
Supports Full Suite team in the proper mapping of the Credit Cards Managed Segment, as well as deposit accounts.
Validate the managerial books for the Credit Cards Managed Segments, as well as deposit products, through reviews reports at summary level.
Provides a whole insight of financial results and policy interpretation for complex accounting transactions engaging with FP&A and Business adding value.
Be the responsible of the proper flow information since the General Ledger fed by the Product Processors and, which finally is shown in the Managerial Books (Pearl).
Leads Integrated closed process by completing the migrations to FRO and setting a formal communication with FP&A.
Qualifications and Competencies:
Education level: Bachelor's degree in economic administrative areas or other related areas (Titled).
2 yrs. Finance & Accounting analysis, US GAAP accounting rules, leadership, adaptability, decision making, self-motivated, resolving conflicts .
Intermediate English (desirable).
Orientation to results