Our client is a renowned and well-established conglomerate with a strong presence in diverse sectors, known for its legacy of excellence and innovation. With a robust corporate structure and a commitment to nurturing young talent, the organization offers an excellent platform for aspiring finance professionals to begin their careers.
Key Responsibilities:
Assist in daily treasury operations, including cash flow monitoring and fund management
Support in bank reconciliations and coordination with banks for routine transactions
Assist in investment tracking, reporting, and documentation
Help in preparation of treasury-related MIS reports
Learn and support the team in forex transactions, fund transfers, and related documentation
Gain exposure to risk management practices in treasury
Work closely with senior team members on various ad hoc financial analysis tasks
Requirements:
CA Inter qualified (both groups or at least one group cleared)
Strong interest in corporate finance and treasury functions
Good communication and analytical skills
Proficiency in MS Excel and basic accounting tools
Willingness to learn and grow in a structured corporate environment
Job Type: Fresher
Pay: ?50,000.00 - ?60,000.00 per month
Work Location: In person
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