Ensure financial data accuracy and audit-readiness for month-end close.
•Keep Addi’s core financial data perfectly accurate, reconciled, and audit-ready every day while serving as the primary quality gatekeeper for all finance-impacting system changes.
•Key Responsibilities Maintain a perfect daily reconciliation rate across core subledgers, ensuring all breaks are identified, escalated, and resolved within SLAs.
•Deliver flawless data support for month-end close by providing complete, accurate, and on-time subledger-to-GL tie-outs.
•Achieve complete UAT coverage and sign-off as the sole tester for all finance-impacting system changes and new product launches.
•Ensure maximum uptime on automated reconciliation workflows supporting the month-end close cycle.
•Operationalize AI-assisted finance processes by defining and running repeatable, audit-ready validation protocols for each automated workflow.
•Requirements Strong analytical skills and attention to detail.
•Experience with financial data reconciliation and month-end close processes.
•Proficiency in SQL and data analysis tools (e.g., Pandas, NumPy).
•Ability to work in a fast-paced, dynamic environment.