À propos de ce poste Financial Accountant chez FedEx Express
What can you expect as a FedEx team member?
- Career Mobility and Development: When you join FedEx, you’re joining a team with possibilities that literally span the world—from opportunities for advancement and location transfer, to training and leadership programs.
- Total Compensation and Benefits Package: We want to keep our employees for a long time, so we offer competitive benefits, opportunities for flexible work arrangements, and programs to support well-being.
Equal Opportunities
Our greatest asset at FedEx is our people. We are committed to building a diverse, equitable and inclusive workforce, and offer equal opportunities, fairness and respect to all regardless of who you are. We encourage you to apply even if you feel your experience does not align with all the aspects in the job description as you could be exactly who we need for this or another opportunity.
We do not tolerate discrimination or harassment based on race, color, ethnicity, national origin, religion, sex, age, genetic information, citizenship, disability, marital status, pregnancy, sexual orientation, gender identity, gender expression, veteran status or any other characteristic protected under national, state or local laws. We will reasonably accommodate team members and third parties with physical and mental disabilities.
" Please note that the Job will close at 12am on Posting Close date, so please submit your application prior to the Close Date"
Company:
INT FedEx Express Transportation and Supply Chain Services (India) Pvt. Ltd.City:
MumbaiScheduled Weekly Hours:
48Worker Type:
RegularPosting Start Date
16-Sept-2026Posting Close Date:
15-Nov-2026Job Family:
FXE-MEISA: Finance COE AccountantPosition Summary:
RTR – Cash management
- Ensure accurate recording of RTR functional transactions in general ledger
- Monitor, analyse, and resolve open items in Cash/Bank/AR/AP clearing accounts, ensuring timely clearing.
- Oversee & review preparation of the Balance Sheet reconciliations & journal entries to GL within prescribed timelines.
- Act as a subject matter expert providing end-to-end insights and identifying trends for process optimization.
- Drive improvements in cash management accounting processes and elevate operational standards.
- Coordinate with internal and external stakeholders to resolve open financial items and ensure compliance.
- Work closely with internal and external auditors, providing detailed documentation and audit trails for cash management-related transactions.
- Work with the GCC or other functions within the company (STC, PTP, OPS) and oversee the GCCs work, or results of what other functions are doing and be able to clearly guide the GCC through the process.
- Assist in process improvement projects and business optimization initiatives.
You will be a great fit if you have
- 3-5 years of relevant work experience in Finance functions within a corporate environment.
- Advanced technical and analytical skills.
- Ability to implement automations based on Excel formulas, macros, Power BI etc.
- Prior experience in determining the process issues/ gaps and helping the management to improve the process.
- Strong financial accounting knowledge, including accruals, reconciliations, and revenue accounting.
- Experience with financial systems/ERPs (SAP, Oracle, Workday Payroll, or similar).
- Excellent analytical, problem-solving, and attention-to-detail skills.
- Strong stakeholder management and communication skills.
Preferred Skills:
- Experience in Power BI development for financial reporting
- Advanced Excel skills (PivotTables, Power Query, VBA).
- Familiarity with automation tools (Alteryx, SQL, RPA).