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DS International Office Financial Analyst

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Job Function:
Finance

Job Sub Function:
Finance Business Partners

Job Category:
Professional

All Job Posting Locations:
Mumbai, India

Job Description:

DePuy Synthes is recruiting for a DS International Office Financial Analyst located in India.

Job Function: Finance
Job Sub Function: Finance Business Partners
Job Category: Individual Contributor

Job Overview

The Financial Analyst supports the DS International Office Finance Manager in delivering financial planning, reporting, compliance, and transformation activities across the DS International Regional Office organization.

The role is responsible for providing high-quality financial analysis, coordinating reporting processes, supporting financial controls, and helping drive process standardization and continuous improvement initiatives.

Working closely with FP&A, Global Services, Tax, and Regional Finance teams, the analyst will contribute to the effective management of the DS International Office financials while supporting the ongoing transformation of the International Finance organization.

This role offers broad exposure to financial planning, analysis, accounting, reporting, compliance, and finance transformation activities within a global and fast-paced environment.

Key Responsibilities

Financial Planning, Reporting & Analysis


* Support the preparation and consolidation of actuals, forecasts, Long-Term Plans (LT), Business Plans (BP), Flash reporting, and Budget versus Actual (BVA) analyses.


* Prepare recurring financial reports, dashboards, and presentations for management reviews and business discussions.


* Analyze financial performance and identify key trends, risks, and opportunities.


* Assist in the coordination of Monthly Business Reviews and planning cycles.


* Maintain financial models and reporting tools to support decision-making.

Financial Stewardship & Compliance


* Support financial management of DS International Office activities and ensure financial information is accurately reflected within company systems.


* Assist with balance sheet reviews, accruals, reconciliations, and financial controls activities.
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