ognizant Walk-In Interview – 21st September 2024 | Exciting Job Opportunities for CA, CMA, ICWA, B.Com, B.B.A, B.M.S, MBA, PGDM Graduates
Looking for a promising career in finance, accounting, and business management? Cognizant is conducting a walk-in interview on 21st September 2024, offering a chance to join one of the world’s leading IT and business process outsourcing companies.
Why Choose Cognizant?
Cognizant is a global leader in IT services, consulting, and business process outsourcing, known for its innovative solutions and a strong focus on employee development. This is an exciting opportunity for fresh graduates and experienced professionals to join a dynamic, fast-paced work environment.
Cognizant Walk-In Interview Details
- Date: 21st September 2024
- Time: 11.00 AM – 2.00 PM
- Venue: Raheja 12A Building, Mindspace Hitech city, HYD, Telangana 500081
- Eligibility: Candidates with degrees in CA, CMA, ICWA, B.Com, B.B.A, B.M.S, MBA, PGDM.
- Experience Level: 7 – 12 years experienced professionals
- Required Documents:
- Updated Resume
- Passport-sized photographs
- Educational Certificates
- Government-issued ID proof
- Work Experience documents (if applicable)
Available Job Roles
Cognizant is hiring for various roles across finance, accounting, and management domains, including but not limited to:
- Private Equity Fund accounting
- Responsibilities:
- Accounting daily Journal entries for cash/bank transactions in accordance with the relevant supporting docs as per agreed quality and turnaround time (TAT) with clients
- Preparing/accounting for adhoc Fund accounting deliverables like Capital Call, Distributions with accuracy
- Perform cash/bank reconciliations on a regular basis
- Prepare financial statements, schedule of investments and portfolio valuations on a quarterly basis
- Monitor the cash flows to facilitate capital calls and distributions on a regular basis
- Perform bank accounting reconciliations on a regular basis
- Hands on experience in preparing and review of monthly, quarterly, bi-annual Financial Statements with supporting documentation.
- Preparation and review of partner capital statements and waterfall schedules
- Prepare and review monthly valuations, reconciliations of fund draw downs and distributions, accruals, expenses etc.
- Prepare and review partner capital activity- capital calls, distributions, partner transfers
- Prepare and review various fee calculations eg. Management fee calculations, carried interest allocations in accordance with the Fund documentation.
- Assist in onboarding and off boarding of investors.
- Review of LPAs on regular basis and ensure the changes have been accommodated into the reporting.
