...improved patient outcomes
Collaborative customer relationships
Deep global regulatory experience
Operational excellence and strong cash flow
Strong sales growth and profitability with significant recurring sales
We expect the creation of the two companies will be...
...manner.
Requirements
Job Overview: We seek a detail-oriented and organized professional to join our team as an Order-to-Cash Specialist. In this role, you will be responsible for efficiently managing the entire Order-to-Cash process, ensuring timely order...
...specialize in financial and management accounting, providing services such as incorporation, accounting processes, internal controls, cash flow management, fund raising, and banking advisory. Our consulting services include financial controlling, fund raising and banking, and...
...educational and employment documents are mandatory to have.
~ Mode of salary credit should be through bank from all the employers (No cash in hand)
PFB the norms to be followed during the Interview process.
We will not hold responsible for any loss of original...
..., suppliers & contractors.
Reconciliation of vendor’s accounts & scrutiny of ledgers.
Auditing of all accounts transaction like cash, bank, voucher, Work Orders, Purchase Orders & Payment Release Notes related to Project.
To maintain banking relations.
To ensure...
...accounting rules.
~ Elaboration of Consolidated Financial Statements (analysis of a part of the balance sheet, income statement and/or cash flow) and preparation of the quarterly earnings release, semi and annual reports like 20F for US filing & CSSF for European filing
~...
...won’t ask you for sensitive information nor will we ask you to pay anything during the hiring process. We also won’t send you a check to cash on Fiserv’s behalf.
If you see suspicious activity or believe that you have been the victim of a job posting scam, you should...
...won’t ask you for sensitive information nor will we ask you to pay anything during the hiring process. We also won’t send you a check to cash on Fiserv’s behalf.
If you see suspicious activity or believe that you have been the victim of a job posting scam, you should...
...Siemens Financial Reporting Guidelines
Optimize operating working capital throughout the project lifecycle to ensure positive free cash flow.
Drive effective contract management throughout the project phase including proactive opportunity and claim management strategies...
...outstanding Payments are made on time with followed by supportive genuine and verified reports and structures
Ensuring Daily / Monthly Bank Reconciliations
Take care of Petty cash, preparing vouchers and maintaining in excel.
Experience in Tally/ Any Accounting Software
...satisfaction. Arrange transportation for guests/visitors. Issue safe deposit boxes. Count and secure bank at beginning and end of shift. Cash-guests' checks, process all payment types, vouchers, paid-outs, charges, and provide change.
Assist management in motivating and...
...Key Responsibilities (KRA)
Manage company bank accounts.
Process and reconcile bank transactions.
Monitor and report on cash flow.
Coordinate with financial institutions.
Key Performance Indicators (KPI)
Accurate and reconciled bank transactions.
Efficient...
Job description 1. Disbursement of cash & cheque to the Brokers and vendors according to the approved bills/Lorry hire challan.
2. Managing the RTGS transfer to Brokers/vendors of Gujarat.
3. Coordinating with the brokers/vendors for the balance payment.
4. Maintaining...
...accordance with Accor's Policies & Procedures and local regulations.
To provide an effective system to track Accounts Payable for effective Cash Flow management
To provide a summary of the vendors ageing report on a monthly basis.
To audit price and quantity variances as...
..., and decision analytics.
~ Planning & Budgeting; current year and mid/long-term rolling corporate estimates and forecasts including cash forecasting
~ Ensure accurate and on-time inputs for internal operating reviews, board and investor presentations; support M&A analyses...
...One Axis to clients with a turnover between Rs 10 Crs. to Rs 250 Crs. by offering products & solutions around forex, trade, payments, cash management and tax payments along with retail products like salary, trust services, forex, commercial card, credit cards etc
About the...
...accounts that will be reviewed and used by an outside CA firm to prepare tax returns and perform the annual financial audit.
Recording of cash receipts and bank deposits and monthly reconciliations of bank accounts.
Oversee processing of accounts payable and receivable and...
...won't ask you for sensitive information nor will we ask you to pay anything during the hiring process. We also won't send you a check to cash on Fiserv's behalf.
If you see suspicious activity or believe that you have been the victim of a job posting scam, you should report...
...transactions
Prepare financial statements and reports
Manage invoices, payments, and expenses
Perform bank reconciliations and monitor cash flow
Assist in budgeting and forecasting activities
Conduct periodic audits to ensure data integrity
Assist in the preparation...
...Management POSITION SUMMARY
Check figures, postings, and documents for accuracy. Organize, secure, and maintain all files, records, cash and cash equivalents in accordance with policies and procedures. Record, store, access, and/or analyze computerized financial...
...credits and collections are applied, uncollectible amounts are accounted for, and miscellaneous differences are cleared
Perform daily cash management duties, including the recording of bank deposits, updating and distribution of cash receipt logs, and posting of cash to the...
...communication, motivation and cross functional interaction.
ownership and being accountable in terms of Process Improvements regarding cash collection and invoice processing.
ownership of improvement projects
ownership regarding special reports on AR/AP (e.g. AR past...
...existing approval process (DOA) workflow as per proposed changes.
•Driving continuous improvement in CRM related processes from quote to cash
•Develop Dashboards/ visualizations within dynamics for Sales Leaders, Product Line Managers, Sales Managers, Market Managers,...
...or mentoring, as appropriate).
· Data Management: Collects and maintains proper documentation for his/her allocated area sale and cash.
· Support : Work closely with other function teams in order to create robust Cluster operations.
Supervises: Territory Officers...
Rs 20000 - Rs 25000 per month
...by providing necessary data as and when required
6.Maintaining and preparation of documents related to ISO/TS/Audits etc
7. Local / cash purchasing as per the requirement
8. Reconciliations of supplier payments with coordination with finance/accounts department
9. As...
...Job Description
~ Required Book keeping,Cash / Bank handling,Billing & Collection,Software-Tally
Job Requirement
Experience
2 to 4 Years
Internship
No
Skills
Book keeping, Cash / Bank handling, Billing & Collection, Software-Tally
Comfortable...
...Collection Target of Fixed Amount per month
· Reconciliation of Invoices with developer
· Loan file handover to banker
· Managing cash and payout
· Creating TDS and GST sheet and coordinating with CA
· MIS reporting
· Keeping Track of Cancellation, it should not...
Rs 7 - 10 lakhs p.a.
...and identify areas for improvement
Prepare and review financial statements, including balance sheets, profit and loss statements, and cash flow statements
Conduct internal audits and provide recommendations for improving internal controls and risk management processes...
...Candidates should possess strong selling skills.
Good sales ability and excellent interpersonal and problem-solving skills.
Basic mathematical calculation ability.
Additional Benefits
Lucrative Incentives + Cash Prizes + Electronic gifts
Mediclaim
Provident Fund...
...financial transactions
Prepare and review monthly, quarterly, and annual financial statements
Ensure compliance with accounting standards and regulations
Handle the finalization of accounts, including balance sheet, profit and loss statement, and cash flow statement...