JO

Senior Specialist – Controllership

Jones Lang Lasalle Jll
Hyderabad5-10 LPA Posted 29 Apr 2026
FULL TIME
Balance Sheet Reconciliation

Job Description

Key Responsibilities

  • Record, review, and analyze monthly financial transactions for assigned client portfolios
  • Support month-end close activities including AP, AR, fixed assets, and financial reporting
  • Perform balance sheet reconciliations and ensure accuracy of financial records
  • Ensure proper revenue recognition as per ASC 606, contract terms, and GAAP standards
  • Review client trial balances, financial statements, and supporting reports
  • Assist in preparation of SOX-compliant documentation and audit workpapers
  • Support internal and external audit processes with accurate documentation
  • Interpret contracts and legal agreements for correct financial treatment
  • Identify process inefficiencies and support continuous improvement initiatives
  • Participate in finance transformation and system enhancement projects
  • Escalate financial discrepancies and provide recommended corrective actions
  • Collaborate with cross-functional teams for accurate reporting and analysis 

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