Description Coordinate with the accounting workstream leads on the client side to ensure implementation requirements for finance are understood and solutions is finalized in discussion with regional and central finance teams of WTW Understand client disclosure tables and CoA and ensure mapping is done with WTW output files Understand client technical accounting specifications and clarify WTW accounting positions and ensure client CoA are aligned with WTW accounting requirements at the time of integrations Work with clients to ensure their local accounting trial balance are bridged with WTW CoA to drive a single company-level CoA Designing financial closing reporting processes and relevant reporting controls under IFRS 17 Support UAT test cases for financial reporting and provide comfort that financial mapping and outputs match with the output tables of ResQ FR and RAFM Support clients in building management information systems and financial analytical framework Perform ad hoc tasks as