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- ...Responsibilities: 1. Financial Planning & Analysis Develop and manage annual budgets, financial forecasts, and cash flow projections .... ...compliance with tax laws, financial regulations, and corporate policies . 4. Treasury & Cash Flow Management Manage company...SuggestedImmediate start
- ...Requirement ~ BE/B.Tech - Civil ~7+ years of experience in budgeting of real estate projects (Highrise residential buildings / Townships... ...be an added advantage Responsibilities Prepare and manage annual budgets for projects. Collaborate with project managers...Suggested
- ...litigation role. The primary focus will be on handling legal agreements, contract management, vendor negotiations, and ensuring regulatory compliance-especially in line with SEBI's outsourcing policies and other applicable regulatory frameworks. Key Responsibilities...SuggestedContract work
- ...compliance and mitigate payment processor risks. Responsibilities Manage Treasury work streams for the operationalization and... ...histories, consistent with legal requirements. See also Google's EEO Policy and EEO is the Law. If you have a disability or special need that...SuggestedLocal area
- ...Role : Finance Manager/Chartered Accountant Location : Bangalore Qualification : CA Experience : 6 to 7 years Job Description :... ...stakeholder management. - Prepare and implement Financial Plan and Budget to different business units. - Formulate Risk Management...Suggested
- ...Key Responsibilities Financing Manage arrangement and renewal of working capital banking limits , both within and outside consortium banks. Handle documentation related to banking limits and credit facilities. Operational knowledge of Bill Discounting (TReDS...Suggested
- ...our Treasury team in Bangalore, India, reporting to the Treasury Manager, who is based in the US. This role will lead data-driven decision... ...hours each year, global employee resource groups, and a 'No Jerks' policy that keeps collaboration healthy Modern offices with EV...SuggestedFlexible hoursNight shift
- ...then process accordingly. Become a subject matter expert in international payment formatting for Finance. General bank account management. Liaison with the wider treasury team on reviewing, verifying, and updating bank signers in internal systems as part of regular...SuggestedRemote jobFlexible hours
- ...including account opening, KYC, NDAs, and rate fixings Administer invoice payments and assist with trade summaries and MCF reporting Manage account access controls and facilitate bank communications Maintain and update treasury documentation and digital repository...Suggested
- ...installations worldwide. Our innovative solutions include solar inverters, battery storage, backup systems, EV charging, and AI-based energy management. We're committed to making clean, green energy the primary power source for homes, businesses, and beyond . With the growing...SuggestedWorldwide
- ...processing, bank and Kyriba administration and corporate card management, ensuring accuracy, compliance, and timely execution across U.S... ...completed accurately, securely, and in compliance with company policies and audit requirements. Working closely with Business Unit Controllers...SuggestedInternship
- ...● Fluent in English, with excellent communication skills. ● Strong knowledge of banking processes, treasury operations, and cash management practices. ● Familiarity with FX, risk management concepts, and High Radius treasury software (preferred). ● Proficiency in spreadsheet...SuggestedHybrid workImmediate startShift work
- ...#BeUnrivalled #CreateTheFuture About This Role We are seeking a Budget & General Ledger Analyst to join our ARC department in Pune.... ..., Business, and Treasury teams to deliver insights on cost management, pricing trends, and revenue reporting. The role is ideal for someone...SuggestedLocal area
- ...is primarily located in Alpharetta, USA, Dublin, IE, and Thane, India and reports up through the CFO's organization. The Department manages and oversees Fiserv's bank relationships, payments processing transactions and activity, cash and working capital requirements, cash...SuggestedLong term contract
- ...specific focus on treasury and financial data. Present findings to both technical and non-technical stakeholders, including senior management. Skills & Qualifications: Preferred is MBA/CA/CFA Bachelor’s degree in Mathematics, Statistics, Economics, Finance,...SuggestedFull timeWork at office
- ...installations worldwide. Our innovative solutions include solar inverters, battery storage, backup systems, EV charging, and AI-based energy management. We're committed to making clean, green energy the primary power source for homes, businesses, and beyond . With the growing...Worldwide
- ...We are seeking a highly organized and detail-oriented Budget Analyst to support the development, monitoring, and performance tracking of departmental budgets. You will play a key role in driving financial efficiency and ensuring that all departments meet their budgetary goals...Hourly payFreelanceRemote jobFlexible hours
- ...About the Role: We are looking for a Senior Treasury Analyst to join our global finance team at Archroma. This role focuses on managing Treasury operations in EMEA , supporting APAC and Americas, and driving process improvements. You will be the key point of contact...Full time
- ...treasury department by performing bank reconciliations for clients and acting as a control function. Given the critical nature of cash management, it is important to maintain comprehensive transparency over all transactions to ensure that obligations to clients and their...ApprenticeshipHybrid workWork at officeWork from homeFlexible hours1 day week
- ...and Test Plan preparation and review Test execution both Manual and Automation Defect logging and Tracking to closure, Defect Management Stake holder management Willing to Travel, Good communication skills, Client facing Requirements Proven working experience...Full timeImmediate startFlexible hours
- ...& analysis, business finance, accounting, compliance, and risk management. The ideal candidate will be a strategic partner to the leadership... ...team for decision-making and long-term growth. Drive annual budgeting, forecasting, and periodic financial reporting processes....Long term contractFull time
- ...Good. The Senior Treasury Analyst will play a critical role in managing the company's cash flow to meet the company's financial... ...Managing short term investments as per company's Short Term Investment Policy ~ Adhere to Treasury SOX compliance and ensuring compliance with...Long term contractTemporary workHybrid workWork at office2 days week
- ...specifically take care of bank guarantee issuance processes and cash flow budget compilation, but also support hedge accounting for foreign... ...related to the issuance of bank guarantees and liquidity management Understanding of foreign exchange risk management, including...Long term contractFull timeWorldwideFlexible hours
- ...This role supports the Treasury function by coordinating with banks, managing loan and trade structures, and ensuring operational execution of treasury strategies. The candidate will work closely with internal stakeholders and the back office to ensure smooth treasury operations...
- ...products. Using your analytical and technical skills, you'll be preparing liquidity reporting and supporting assets, including liability management, market risk reporting and fund transfer pricing. As well as this, you'll be: Producing MI packs for business commentary and...Hybrid workFlexible hours
- ...experienced Treasury professional with 8–10 years of experience in managing the end-to-end cash flow and treasury operations of a company.... ...manage investment of surplus funds in line with company policies to optimize returns. Ensure compliance with RBI and FEMA regulations...
- ...focused outcomes. Role Description/Summary: We are looking for a qualified Chartered Accountant with 2–3 years of experience to manage month-end accounting, prepare standalone financials, and support statutory audits. The role involves resolving audit queries,...
- ...role requires strong leadership, financial acumen, stakeholder management, and experience in hospital billing and receivables. Key Responsibilities... ...the group at the corporate level. Develop and implement AR policies, procedures, and controls in line with company objectives and...
- ...Proficiency in financial software and tools. Strong analytical skills and attention to detail. Experience in accounts receivable management within the Software sector. Knowledge of financial compliance and reporting standards. Excellent communication and...
- ...Key Responsibilities Responsible for managing all India transactions Book keeping in Tally Prime Preparing e-invoices and sales invoices where necessary Filing monthly GST returns inclusive of calculations Ensuring timely payments for all creditors and statutory...
