- Hiring from
- India
- Work type
- Remote
- Posted
- Oct 1, 2026
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The Transfer Pricing Analyst will support the organization’s transfer pricing compliance, documentation, intercompany transaction management, and periodic transfer pricing calculations. The role involves working closely with Finance, Accounting, Tax, Legal, and external advisors across multiple
jurisdictions.
• Assist in preparation of quarterly transfer pricing calculations and year-end true-ups.
• Support preparation and review of intercompany invoices, recharges, and transfer pricing journalentries.
• Perform operating margin, cost-plus, and profitability analyses for group entities.
• Assist with preparation of Local Files, Master File, benchmarking analyses, and other TP documentation.
• Maintain and update intercompany agreements and ensure transactions are aligned with the applicable TP policy.
• Reconcile intercompany transactions and accurate booking of intercompany income, expenses, receivables, and payables.
• Extract, review, and analyze financial data from NetSuite/Other Tools for transfer pricing calculations and reconciliations.
• Coordinate with regional finance/tax teams and external advisors for country-specific TP compliance requirements.
• Assist with TP audits, assessments, notices, and information requests from tax authorities.
• Maintain TP trackers, supporting documentation, calculation files, agreements, and appropriate audit trails.
jurisdictions.
• Assist in preparation of quarterly transfer pricing calculations and year-end true-ups.
• Support preparation and review of intercompany invoices, recharges, and transfer pricing journalentries.
• Perform operating margin, cost-plus, and profitability analyses for group entities.
• Assist with preparation of Local Files, Master File, benchmarking analyses, and other TP documentation.
• Maintain and update intercompany agreements and ensure transactions are aligned with the applicable TP policy.
• Reconcile intercompany transactions and accurate booking of intercompany income, expenses, receivables, and payables.
• Extract, review, and analyze financial data from NetSuite/Other Tools for transfer pricing calculations and reconciliations.
• Coordinate with regional finance/tax teams and external advisors for country-specific TP compliance requirements.
• Assist with TP audits, assessments, notices, and information requests from tax authorities.
• Maintain TP trackers, supporting documentation, calculation files, agreements, and appropriate audit trails.