Infinit -O is the trusted, customer -centric, and sustainable leader in Business Process Optimization. We empower finance and healthcare organizations to thrive in a digital -first world by combining specialized industry expertise and innovative technology for 20 years.
We navigate complex industry landscapes to drive transformative outcomes, helping businesses streamline operations, enhance customer experience, and achieve sustainable growth backed by a world -class Net Promoter Score of 75. Our approach combines operational efficiency with a human -centered ethos, ensuring sustainable value creation for our clients and team members.
As a Certified B Corporation, Infinit -O is committed to the highest standards of social and environmental performance, accountability, and transparency. We embed these values into every aspect of our operations—aligning business success with a positive impact on our clients, people, and communities.
Our commitment to Diversity, Equity, and Inclusion (DEI) is integral to our mission. We believe that building inclusive, equitable teams is not only the right thing to do—it is also essential for driving innovation and better business outcomes. We actively promote equal opportunity through inclusive hiring practices, continuous learning programs, and regular equity assessments to ensure a fair and empowering workplace for all.
Key Responsibilities:
Post month -end close Journal Entries
Reconcile the company’s bank statements and ledgers
Perform month -end balance sheet accounts reconciliation
Audit and approve employee expense reports
Input company bills and invoices in the Payables workflow module
Generate company’s financial reports using the accounting software being used and conduct FS analysis
Create and update process documentation
Any other related processes required by Customers Finance Accounting Group
Quality & Information Security Management
Adhere to and implement Infinit -O’s quality and information security policies and carry out its processes and procedures accordingly
Protect client -supplied and generated for client information from unauthorized access, disclosure, modification, destruction or interference (see also Table of Offenses)
Carry out tasks as assigned and are aligned with particular processes or activities related to information security
Report any potential or committed non -conformity, observation and/or security event or risks to immediate superior
Assist Internal Audit Team during internal audits of assigned projects.