Goldman Sachs hiring CA with 0-1 years work experience for Controllers – Investment Accounting – Analyst position at Bengaluru.Controllers ensure that the firm meets all the financial control and reporting obligations of a global, regulated and public financial institution. Our professionals measure the profitability of, and risks associated with, every aspect of the firm’s business. Controllers also ensure that the firm’s activities are conducted in compliance with the regulations governing transactions in the financial markets.
As an Investment Accounting Controller you will take complete ownership of the financial reporting and monitoring for a range of legal entities and investment entities. You will develop an in-depth understanding of these entities, including their business strategies, products and accompanying technical accounting and disclosure requirements.
Whether Investment Accounting Controllers are ensuring the integrity of our entities’ financial information, facilitating the firm’s consolidation, or offering analytical and regulatory support, our work will contribute directly to the firm’s success.
Job duties include full-cycle accounting and reporting of real estate investment entities and other investing and lending entities owned or managed by the firm.
JOB SUMMARY AND RESPONSBILITIES
Perform full-cycle, entity-level accounting in accordance with GAAP, including:
Review and analyze asset-level activity and financial statements
Prepare and post accounting entries and monthly activity uploads
Execute monthly close procedures and exception analyses
Prepare and analyze GAAP financial statements and review packages
Understand inputs, outputs and data flows for Investment Accounting and Firm systems such as Yardi, PeopleSoft, JD Edwards and others
Prepare and contribute to annual audited financial statements under US GAAP, coordinating audit requests with external auditors
Facilitate quarterly consolidated reporting of the Goldman Sachs Group with regular interaction with Financial Reporting Controllers.
Facilitate quarterly close and reporting for investment funds as well as the accompanying management, regulatory and client reporting that varies by fund
Understand macro and micro business plans and keep up-to-speed with business developments and their impact to be able to communicate them effectively to team members
Provide business insights around transaction and capital planning, cash forecasting, entity formation and dissolution, lender draw requests, insurance claim administration, and other ad hoc requests
Coordinate with federal, local and foreign tax teams on tax issues, submission of returns, accounting for income taxes and non-income-based taxes.
