Job Description











Accountabilities:







1. System Administration & Configuration

+ Maintain and configure reconciliation templates, workflows, and system settings.

+ Support automation rules, matching logic, and certification workflows within the reconciliation system.

+ Ensure the system reflects current account structures, entities, or organizational changes.















2. Financial Close Support

+ Manage the opening, closing, and monitoring of financial close or reconciliation periods.

+ Prepare period setup activities so reconciliation tasks are launched accurately and on time.

+ Provide support during month‑end close to resolve issues and remove roadblocks for Finance teams.







3. Data Integration & Monitoring

+ Oversee data feeds from ERP, suble...

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