Get new jobs by email
Search Results: 144 vacancies
- ...a strong internal control environment to safeguard company resources and mitigate risks. Oversee borrowings, renewals, and other banking-related activities as required. Ensure financial security and integrity across all company operations. Control and manage the accounting...Suggested
- ...data integrity. Treasury & Cash Flow Management: Manage cash flow forecasting and optimize working capital management. Oversee banking relationships and ensure efficient fund utilization. Evaluate and manage foreign exchange exposure and other financial risks....Suggested
- ...of findings. Cash Flow & Treasury Management: Optimize cash flow management, including working capital and liquidity. Manage banking relationships and investment portfolios. Develop and implement treasury policies and procedures. Business Partnering &...SuggestedLocal area
- ..., and properly classified. Perform complex journal entries, accruals, and deferrals. Conduct detailed account reconciliations (bank, inter-company, vendor, customer) and resolve discrepancies promptly. Taxation & Compliance: Ensure timely and accurate calculation...Suggested
- ...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...Suggested
- ...Under Retail Banking Group, e-Relationship Management Services help customers avail of a host of banking services primarily through the phone channel. The e-Relationship Management Channel at the Bank is strongly connected to all business groups to design service architecture...Suggested
- ...Here's a detailed job description for a Personal Loan Officer in Nagpur, Maharashtra, India , suitable for banks, Non-Banking Financial Companies (NBFCs), or other lending institutions. Personal Loan Officer Job Description Job Title: Personal Loan Officer / Loan...SuggestedWork at office
- ...Financial Accounting & Record Keeping: Oversee and perform daily accounting operations, including ledger scrutiny, journal entries, and bank reconciliations. Manage and maintain accurate Accounts Payable (AP) and Accounts Receivable (AR) ledgers, ensuring timely payments...Suggested
- 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...Suggested
- ...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...SuggestedShift work
- ...Back Office # Please call on the given number to apply (***) ***-**** # Role: Accurately enter, update, and manage financial data in banking systems. # Key Responsibilities: Ensure data accuracy, integrity, and confidentiality; verify and cross-check information. #...Suggested
- ...Finance & Accounts function up to finalization, encompassing accounting, MIS, treasury, audits, taxation, vendor/customer relations, banking, and financial planning, all while demonstrating strong team handling and compliance expertise. Key Responsibilities Financial Leadership...Suggested
- ...Software Test Engineer - Manual Testing We are seeking a skilled Manual Tester who will play a crucial role in ensuring the quality and reliability... ...Experience with API testing tools (Rest Client) is an added advantage. Experience in the Energy domain is preferred....SuggestedPermanent employmentFull timeImmediate start
- ...or ledger. Maintain organized and up-to-date financial records, both physical and electronic. Assist with the reconciliation of bank statements, credit card statements, and vendor accounts. Accounts Payable & Receivable Support: Support in processing invoices from...Suggested
- ...track outstanding payments, and actively follow up on collections. Perform periodic reconciliation of debtor and creditor balances. Bank & Cash Management: Conduct daily, weekly, and monthly bank reconciliations to ensure accuracy between bank statements and internal...SuggestedFor contractorsWork at office
- ...purchases, sales, receipts, and payments. Prepare, verify, and process invoices, expense reports, and petty cash transactions. Reconcile bank statements, credit card statements, inter-company accounts, and other financial accounts regularly. Ensure all financial data is...Work at office
- .../ Wealth Management Advisor / Financial Planner Department: Wealth Management / Financial Services / Investment Advisory / Retail Banking Reports To: Branch Manager / Sales Manager / Head of Wealth Management Location: Nashik, Maharashtra, India (This role involves...Full timeTemporary workLong term contractWork at office
- ...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...
- ...preparing payment vouchers and ensuring accurate recording of payments. Assist in generating sales invoices/bills for customers. Bank & Cash Management Support: Assist with daily cash and bank transactions, ensuring all entries are recorded. Support the Accountant...Work at office
- ...and record daily financial transactions efficiently and accurately (sales, purchases, expenses, receipts, payments). Perform regular bank reconciliations, credit card reconciliations, and other financial account reconciliations to ensure accuracy. Accounts Payable (AP)...Work at officeLocal area