About the Role:
We are looking for a detail-oriented and experienced Financial Analyst to join our team. The ideal candidate will bring a minimum of 2 years of experience in finance or accounting, preferably within a BPO or shared services environment, with a strong understanding of U.S. accounting principles and retail transaction workflows. This role plays a key part in maintaining financial accuracy, supporting audit processes, and driving continuous improvement across transaction operations.
Key Responsibilities:
Transaction Processing & Reconciliation
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Review, clean, and reconcile daily store transactions including sales, refunds, fuel purchases, and inventory adjustments.
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Maintain accurate financial records in QuickBooks, including journal entries, bank reconciliations, and expense categorization.
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Generate periodic financial reports, identify discrepancies, and provide actionable insights to improve financial accuracy.
Audit & Compliance Support
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Assist in internal audits by preparing documentation and resolving transaction-level queries.
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Collaborate with U.S.-based finance teams to clarify transaction details and ensure alignment with corporate accounting standards.
Process Improvement
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Identify inefficiencies in transaction workflows and recommend improvements to streamline operations.
Shift Time:
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07:00 PM to 04:00 AM Pakistan Standard Time
Requirements
Requirements:
Education & Qualifications
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Bachelor's degree in Accounting, Finance, ACCA/CA, or a related field.
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Minimum 2 years of experience in finance or accounting roles, preferably in a BPO or shared services environment.
Preferred Skills:
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Hands-on experience with QuickBooks Online or Desktop.
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Strong understanding of U.S. accounting principles and retail transaction workflows.
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Proficiency in Excel and familiarity with financial reporting tools.
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Strong analytical skills and attention to detail.
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Effective communication skills for cross-border collaboration.
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Experience working with U.S. clients in the retail or fuel industry.
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Familiarity with POS systems and inventory reconciliation.
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Knowledge of sales tax and fuel tax reporting.