Average salary: Rs180,000 /yearly
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- ...resolution of issues. The role bearer has a responsibility to increase customer penetration across current account, Retail Asset, Government Banking products contributing to achieving the larger organizational objectives of the bank. Roles & Responsibilities: Ensure...SuggestedFull time
- ...Golden Gate, Oracle Data Guard, and DG Broker.9. Integrate the database with Oracle OEM or any other monitoring tools as specified by Bank on time to time.10. Provide Inputs/Evidence for Database Review, Security Review and closure of database related audit and security points...Suggested
- ...reconciliations of all accounts. The role involves recording/updating transactions, managing invoicing, payments, and collections, reconciling bank statements, end-of-the-month entries, preparing monthly financial statements, and ensuring compliance with accounting standards. This...SuggestedFull time
- ...cash during premium acceptance & third party cheque/ authenticity of instrument. Accounting of Business Collection at branch office. Banking of Business Collection within defined TAT. C. Sales Management; Responsible for identifying potential customers and establish...SuggestedFull timeWork at office
- ...and tables and place in designated area. - Anticipate and communicate replenishment needs. - Process all payment methods. - Count bank at end of shift, complete designated cashier reports, resolve any discrepancies, drop off receipts, and secure bank. - Secure liquors...SuggestedFull timeShift work
- ...accuracy. Complete designated cashier and closing reports in the computer system. Cash guests' personal checks and traveler's checks. Count bank at the beginning and end of shift. Balance and drop receipts according to Accounting specifications. Follow all company safety and...SuggestedFull timeTraineeshipLocal areaRemote jobRelocationShift work
- ...Accounting Duties: Record financial transactions and maintain ledgers. Assist in preparing financial statements and reports. Reconcile bank statements and general ledger accounts. Process invoices and manage accounts payable/receivable. Cashier Duties: Handle cash...SuggestedShift work
- ..., VRV, water plant, Air Compressor, AHU, Exhaust & ventilation system, Lift, Switchgear like, ACB, VCB, MCCB, RCCB, RCB, and Capacitor bank. Coordination with team for utility/premises services enhancement & Smooth operation of facility. Keeping tracking of all equipment daily...SuggestedContract workFor subcontractorWork at officeImmediate start
- ...functions, ensuring accurate bookkeeping. Handle accounts payable (AP) and accounts receivable (AR) processes efficiently. Oversee bank reconciliations, journal entries, and general ledger maintenance. # Tax Compliance & Liaison with Auditors: Ensure timely...Suggested
- ...daily bookkeeping and accounting entries. ~ Support invoice processing, expense tracking, and payment follow-ups. ~ Help reconcile bank statements and vendor accounts. ~Maintain organized and accurate financial records. ~Support audit preparation and internal...SuggestedTemporary workInternship
- ...transactions. Understanding of GST compliance processes including timely filing and submission of necessary documentation. Strong skills in bank reconciliation, ensuring that all financial discrepancies are identified and addressed. Capable of effectively managing accounts...SuggestedFull time
- ...the concerned teams, discuss any issues faced in AR processing and meet turnaround time for payment (Systems involved is SAP, MDG and Bank Portal) Understand complexities of commercial transactions and tax laws as well as existing processes and suggest improvements. Work...SuggestedUS shift
- ...Do what you love, care for the world, dare to challenge the status quo! #BELIMITLESS" Job Description Responsible for bank deposits and prepare daily Cash Control reports for Bank reconciliation. Any matter which may affect the interests of the hotel should...SuggestedFull timeWorldwide
- ...Requirements Proficient in TDS and GST return filing Skilled in Tally, bookkeeping, and ledger maintenance Experience with GST and bank reconciliations Familiarity with audit support and compliance tracking Good command of MS Excel and Word Strong written and...SuggestedFull timeWork at officeRelocation
- ...or state. 4. Make weekly and monthly plans for school visits. 5. Enroll students in the program. 6. Manage fee collection and banking of fees. 7. Conduct exams, evaluate answer sheets, and submit results. 8. Manage end-to-end activities of the Brainstorm spellbee...SuggestedFull timePart timeWork at officeLocal areaImmediate start
- ...AR) – Responsible for the AR monitoring and reporting for AR, co-ordination with sales and services and chasing for collections. # Banking – Monitoring and reporting the cash flow, co-ordination with banks for letter of credit, bank guarantees and allied matters . # IEDPMS...Full timeWorldwide
- ...and Outward Registers. ~Assist Admin In-charge whenever required. ~Reconcile and maintain balance sheet accounts. ~Perform account/bank reconciliations. ~Preparation of monthly financial reports. ~Monitor accounts receivable and accounts payable. ~Assist with budgeting...
- ...12 months of experience in channel sales (AP/Akzo/Laminates/Ply/Electricals/Lubricants). However, fresh talents or from insurance or banking sector will also do. Benefits Net Take Home: 18K-20K (Negotiable)+Travel Allowance of 5000/-+ Lucrative Performance driven Incentives...Contract workFor contractors
- ...) experience Apply By 9 Aug' 25 Posted 3 weeks ago Job Be an early applicant About the job Hiring for a leading NBFC bank, Location- Panaji, Chennai(Ashok Nagar), Delhi Interview Mode- F2F 1. Business Manager 2. Manager - Investment 3. Manager - Insurance...Immediate start
Rs 5 - 9 lakhs p.a.
...Hiring for a leading NBFC bank, Location- Panaji, Chennai(Ashok Nagar), Delhi Interview Mode- F2F 1. Business Manager 2. Manager - Investment 3. Manager - Insurance 4. Manager - Gold Loan 5. Branch Manager 6. Assistant Branch Manager 7. Branch Sales...Full time- ...first and last name, and provide general spa orientation to guests upon arrival Promote and sell spa/salon services Obtain assigned bank and ensure accuracy of contracted monies, obtain change required for expected business level, and keep bank secure at all times...
- ...Compile and review daily reports, logs, and contingency lists. Complete cashier and closing reports, balance receipts, and manage the bank at the start and end of each shift. Obtain manual authorizations and strictly follow all Accounting procedures. Notify Loss...Immediate startShift work
- ...reports, logs, and contingency lists. Completes cashier and closing reports; balances and drops receipts; counts and secures cash bank at shift beginning and end. Obtains manual authorizations and follows all Accounting procedures. Supplies guests with directions...
- ...ensure requests have been met. Process all payment types, vouchers, paid-outs, and charges. Balance and drop receipts. Count and secure bank at beginning and end of shift. Obtain manual authorizations and follow all Accounting procedures. Notify Loss Prevention/Security of...Full timeRemote jobRelocationShift work