Responsibilities: Operations Management: Execution of banking operational Transaction and ensure they are error-free. Collaborate with the team to ensure timely execution of fina…
Responsibilities: Day to day Cashflow / Fund flow planning and managing the daily Payments. Managing day to day Import / Inland LC / BG opening. Managing day to day to MIS rela…
Responsibilities: Review Book hygiene KPI such GR IR, Advance, MSME vendors, RPT transactions etc Trial balance review Support in Month end closing activities Support in st…
Responsibilities: Review Book hygiene KPI such GR IR, Advance, MSME vendors, RPT transactions etc Trial balance review Support in Month end closing activities Support in st…
Responsibilities: Day to day Cashflow / Fund flow planning and managing the daily Payments. Managing day to day Import / Inland LC / BG opening. Managing day to day to MIS rela…
Responsibilities: Review Book hygiene KPI such GR IR, Advance, MSME vendors, RPT transactions etc Trial balance review Support in Month end closing activities Support in st…
Job Category: Commercial Bank Degree Level: Bachelor's Degree Job Description: We are seeking a high-energy, self-motivated Relationship Manager - TFE to drive quality business…
Responsibilities: Align with business objectives and interact with BU for matter concerning Financial statements Timely closing of monthly/quarterly/annual books of accounts Li…
Responsibilities: Experienced finance professional with a strong background in FP&A, specializing in MIS reporting, budgeting, cash flow management, and variance analysis. Skill…
Responsibilities: Operations Management: Support the capital finance operations, including the issuance and administration of equity, debt, bonds, working capital, and commercial p…
Responsibilities: Monthly dashboards for focusing on overall book hygiene Ensuring Review of Financial Statements Site co-ordinations and Process alignment Ensure adherence to…
Responsibilities: Review of Monthly MIS, Reporting and highlight variances to senior management. Strategies Cash flow Planning and ensure payments on time Annual Budgeting plan…
Responsibilities: Monthly dashboards for focusing on overall book hygiene Ensuring Review of Financial Statements Site co-ordinations and Process alignment during month end for…
1. Validation of the Annual operation plan/budget prepared by the operation/planning team for variable & Fixed cost before the start of the Financial Year. 2. Budget loading as…
Responsibilities: Preparation of Monthly MIS, Reporting, Audit Schedules - analyzing and preparing rationale for variances. Cash flow Planning to effect all payments on time for…
Responsibilities: Review of Monthly MIS, Reporting and highlight variances to senior management. Strategies Cash flow Planning and ensure payments on time Annual Budgeting plan…
Responsibilities: Align with business objectives and interact with BU for matter concerning Financial statements Timely closing of monthly/quarterly/annual books of accounts Li…
Responsibilities: Review of Monthly MIS, Reporting and highlight variances to senior management. Strategies Cash flow Planning and ensure payments on time Annual Budgeting plan…