Who we are
DigiCert is a global leader in intelligent trust helping organizations protect the digital interactions people rely on every day. From websites and cloud services to connected devices and critical systems we make sure digital experiences are secure private and authentic.
Our AI-powered DigiCert ONE platform brings together certificates DNS and lifecycle management to help organizations stay ahead of risk as technology and threats evolve. Trusted by more than 100000 organizationsincluding 90% of the Fortune 500DigiCert helps businesses operate with confidence today while preparing for whats next including a quantum-safe future.
Job summary
This accounting staff member would provide accounting support for in-region accounting teams across the world. Supporting these teams would include activities such as data entry journal entry creation general ledger and subledger reconciliations. Reconciliations would be necessary to ensure the subledger details agree to general ledger balances. Maintaining records of payments including inter-company transactions.
What you will do
- Verify and post details about business transactions in the accounting system
- Perform bank reconciliations.
- Manage Prepaids schedules and monthly reconciliations.
- Managing fixed assets additions disposals and depreciation
- Become proficient in the use of the accounting system (NetSuite)
- Contribute to and improve reconciliation processes
- Participate in month-end close activities including preparation of journal entries.
- Assist on projects as needed
- Support regional teams during various audits
- Shift Time: 1:00 PM to 10:00 PM (IST)
What you will have
- Preferred bachelors degree in business Finance Accounting or related field
- Proficient with MS Excel MS Word and/or any other products within the Microsoft Suite
- Strong understanding of accounting principles practices and procedures
- Excellent organizational skills
- Attention to detail and accuracy in financial data analysis and reporting
- Ability to work and communicate among multiple teams and functions
- 2 years of experience with accounting bank reconciliation and month-end reconciliations
- Effective communication and interpersonal skills
- Should be flexible in shift timings
Nice to have
- Advanced knowledge and skill with MS Excel MS Word and/or any other products within the Microsoft Suite
- Preferred NetSuite experience
- Preferred experience working in international currencies
Benefits
- Generous time off policies
- Top shelf benefits
- Education wellness and lifestyle support
#LI-SS1
PRESENT
Required Experience:
Staff IC
Who we areDigiCert is a global leader in intelligent trust helping organizations protect the digital interactions people rely on every day. From websites and cloud services to connected devices and critical systems we make sure digital experiences are secure private and authentic.Our AI-powered Digi...
Who we are
DigiCert is a global leader in intelligent trust helping organizations protect the digital interactions people rely on every day. From websites and cloud services to connected devices and critical systems we make sure digital experiences are secure private and authentic.
Our AI-powered DigiCert ONE platform brings together certificates DNS and lifecycle management to help organizations stay ahead of risk as technology and threats evolve. Trusted by more than 100000 organizationsincluding 90% of the Fortune 500DigiCert helps businesses operate with confidence today while preparing for whats next including a quantum-safe future.
Job summary
This accounting staff member would provide accounting support for in-region accounting teams across the world. Supporting these teams would include activities such as data entry journal entry creation general ledger and subledger reconciliations. Reconciliations would be necessary to ensure the subledger details agree to general ledger balances. Maintaining records of payments including inter-company transactions.
What you will do
- Verify and post details about business transactions in the accounting system
- Perform bank reconciliations.
- Manage Prepaids schedules and monthly reconciliations.
- Managing fixed assets additions disposals and depreciation
- Become proficient in the use of the accounting system (NetSuite)
- Contribute to and improve reconciliation processes
- Participate in month-end close activities including preparation of journal entries.
- Assist on projects as needed
- Support regional teams during various audits
- Shift Time: 1:00 PM to 10:00 PM (IST)
What you will have
- Preferred bachelors degree in business Finance Accounting or related field
- Proficient with MS Excel MS Word and/or any other products within the Microsoft Suite
- Strong understanding of accounting principles practices and procedures
- Excellent organizational skills
- Attention to detail and accuracy in financial data analysis and reporting
- Ability to work and communicate among multiple teams and functions
- 2 years of experience with accounting bank reconciliation and month-end reconciliations
- Effective communication and interpersonal skills
- Should be flexible in shift timings
Nice to have
- Advanced knowledge and skill with MS Excel MS Word and/or any other products within the Microsoft Suite
- Preferred NetSuite experience
- Preferred experience working in international currencies
Benefits
- Generous time off policies
- Top shelf benefits
- Education wellness and lifestyle support
#LI-SS1
PRESENT
Required Experience:
Staff IC
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