Raju CK
Finance Manager at Helius Technologies- Claim this Profile
Click to upgrade to our gold package
for the full feature experience.
Topline Score
Bio
Experience
-
Helius Technologies
-
Singapore
-
IT Services and IT Consulting
-
200 - 300 Employee
-
Finance Manager
-
Dec 2020 - Present
-
-
-
TeamLease Services Limited
-
India
-
Staffing and Recruiting
-
700 & Above Employee
-
Senior Business Analyst
-
Feb 2015 - Jul 2022
-
-
Manager
-
May 2008 - Jun 2020
-
-
MIS Lead
-
May 2013 - Feb 2015
Maintain daily / weekly / fortnightly / monthly scorecard Preparing P&L for Sourcing SBU Billing Reconciliation Invoice Reconciliation Outstanding Reconciliation Performance analysis Handling Operation - Sourcing related quires Taking care of escalation mails Preparing Key Metrics Analyzing the attendance OLD (Offer letter Deposit) Reconciliation Preparing Performance Report Conducting Con Call with location managers for requirement and Collection updates. Preparing Reward and Reorganization Report Client Agreement and Legal MIS reconciliation Preparing revenue report and Conversion report Vendor Reconciliation Conducting inductions for New Joinees
-
-
Business Analyst
-
Aug 2011 - Apr 2013
Maintain daily / weekly / fortnightly / monthly scorecard Attendance Reconciliation for Students and Teacher Follow up with Divisional Academic Managers & Senior Trainers for various kind of data Performance analysis Analyzing the Warehouse operations Access multiple IT platforms & extract business relevant information Suggest IT requirements to improve report capabilities Preparing LMS report Maintaining students Feedback report Maintaining Weekly / Monthly Candidate enquiry and Students Enrolment details Headcount reconciliation Checking various scholarship admissions and updating the course fee on COMS accordingly Upload the Log sheet for all course on Scheduler software
-
-
MIS
-
May 2008 - Aug 2011
Preparing Team Scorecard and Individual Scorecard (Monthly, Weekly and Daily) Analyzing the Team performance Preparing the Payout statements Uploading Inputs and Invoice Dates on ALCS(Associate Life Cycle System) Calculating the Incentives Preparing metrics for Anchors, SMEs and Team leaders Preparing the Inputs statements Monitoring the invoices details Checking the errors of Invoices Monitoring the Mail Load (Talisma Mails) Preparing MPBP details each and every clients Uploading MPBP details to Client Portal Preparing the Unlock report Preparing the Invoice revision report Preparing the OSP report Preparing the monthly Allocation list and uploaded the same to ALCS Preparing the Payroll Base data report Preparing CMS statement
-
-
Education
-
MSEC
Master of Business Administration (M.B.A.), Finance and Financial Management Services