Average salary: Rs435,248 /yearly

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  • Search Results: 66 vacancies

  •  ...Job description Bachelor s degree in Finance, Commerce or Business Banking certifications, IIBF certifications, quality certifications will be a plus Experience in Insurance Operations, Reconciliation, Disbursement Operations, Card Operations etc will be a value-add... 
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    Shift work
    Nashik
    10 days ago
  • Managing Sales of Home Loan Product Sourcing business through open market - DST & DSA Strong knowledge of home loans, LAP, mortgage loans Sourcing - DSA. Open Market, Connectors Required Candidate profile Good communication skill Must have minimum 1 year experience...
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    Nashik
    a month ago
  •  ...Job Title : Area Sales Manager – Business Loan & LAP Location : Nashik CTC : Up to 15 LPA Industry : NBFC (Non-Banking Financial Company) Reporting to : Zonal Sales Manager Job Overview We are seeking a highly driven and experienced Area Sales Manager... 
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    STAFFIAA

    Nashik
    25 days ago
  •  ...invoices and tracking payments. Follow up on outstanding payments and reconcile customer accounts. Maintain customer records. Bank Reconciliations: Perform daily/weekly/monthly bank reconciliations to ensure bank statements match company records. Identify and... 
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    Nashik
    2 days ago
  •  ...payments, and following up on outstanding dues. Prepare and process expense reports, ensuring compliance with company policies. Bank & Cash Management: Perform regular bank reconciliations to ensure consistency between bank statements and internal cash records.... 
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    Full time
    Nashik
    14 days ago
  •  ...external errands such as delivering documents to clients/vendors, collecting items from suppliers, or depositing/withdrawing cash from banks (if authorized and required). Make local purchases for office supplies or other items as instructed. Office Supplies Management:... 
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    Work at office
    Local area
    Nashik
    2 days ago
  •  ...Responsibilities Prepare and maintain accurate financial statements and reports. Manage accounts payable and receivable processes. Reconcile bank statements and financial discrepancies. Assist in budgeting and forecasting processes. Ensure compliance with accounting... 
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    Nashik
    11 days ago
  •  ...allocation. Ensure compliance with all internal policies, procedures, and external regulatory requirements (e.g., RBI guidelines for banks, SEBI for financial services, local labor laws). Implement and monitor risk management practices to safeguard branch assets and... 
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    Work at office
    Local area
    Nashik
    2 days ago
  •  ...Bancassurance is the largest sales channel of HDFC Life which includes selling life insurance through Bancassurance partners like HDFC Bank. With its vision to be the highest performing Bancassurance channel in the industry, the team has its presence in 400+ locations in the... 
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    Nashik
    3 days ago
  •  ....g., Tally ERP, QuickBooks). Maintain organized physical and digital files for all financial documents, such as invoices, vouchers, bank statements, and receipts. Accounts Payable Support: Assist in processing vendor invoices, verifying details, and preparing documents... 
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    Nashik
    4 days ago
  •  ...top 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,... 
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    Shift work
    Nashik
    3 days ago
  •  ...standards, tax laws, and financial regulations, ensuring the company's full compliance. Reconciliation & Analysis: Perform complex bank reconciliations , inter-company reconciliations, and balance sheet reconciliations for various accounts (e.g., fixed assets, inventory... 
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    Full time
    Nashik
    6 days ago
  •  ...up with clients for timely collections. Process customer payments and ensure accurate application to their respective accounts. Bank & Cash Management: Perform daily or weekly bank reconciliations to match bank statements with internal cash/bank books. Manage... 
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    Nashik
    4 days ago
  •  ...receivables and follow up with clients for timely collections. Process customer payments and apply them accurately to respective accounts. Bank & Cash Reconciliation: Perform daily, weekly, or monthly bank reconciliations to ensure accuracy between bank statements and company... 
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    Nashik
    8 days ago
  •  ...., Tally ERP, QuickBooks, SAP B1). Prepare financial statements, including Profit & Loss Accounts and Balance Sheets. Assist in bank reconciliations, ledger scrutiny, and rectification of errors. Maintain accurate and organized accounting records for clients. Financial... 
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    Nashik
    10 days ago
  •  ...Prepare and issue invoices to customers, track receivables, and follow up on outstanding payments (Accounts Receivable). Reconcile bank statements and other financial records regularly. Financial Reporting & Analysis: Assist in the preparation of financial statements... 
    Nashik
    22 days ago
  •  ...including picking up and dropping off documents, packages, and correspondence. Run various office errands as instructed, such as banking, purchasing supplies, or visiting other local offices. Administrative Support: Assist with photocopying, scanning, printing, and... 
    Work at office
    Local area
    Nashik
    10 days ago
  •  ...Roles and Responsibilities: Conduct statutory audits of financial institutions, primarily banks , in accordance with regulatory and accounting standards. Review and analyze financial statements to ensure accuracy, completeness, and compliance with applicable frameworks... 
    Nashik
    4 days ago
  •  ...The Accountant will be responsible for managing all financial transactions, from fixed payments and variable expenses to bank deposits and budgets. This role involves preparing financial reports, maintaining accurate records, ensuring compliance with tax regulations, and... 
    Nashik
    24 days ago
  •  ...receipts, and payments. Ensure all financial entries are categorized correctly and supported by appropriate documentation. Perform bank reconciliations regularly to ensure accuracy between bank statements and company records. Accounts Payable (AP) & Accounts... 
    Nashik
    11 days ago