Our employees help our customers and clients at every stage of their financial lives, helping them connect to what matters most. This…
Job Description:Business Partnering with cross functional team and help business deliver its target. Driving efficiency in the process to improve profitability for…
Senior Manager Financial Reporting Life Insurance (8 years)Looking for a professional with 8 yrs. Of experience in financial reporting in Life insurance…
Responsible for review of Accounting daily, weekly and monthly bookings and related tasksForecast cash flow positions, related borrowing needs, and available funds…
State Street Corporation (NYSE: STT) is one of the world\'s leading providers of financial services to institutional investors, including investment servicing, investment…
Sec & Derivat Intmd Analyst Job Req ID 22523902 Primary Location Gurgaon, India Job Category Operations Transaction ServicesSave JobThe Securities & Derivatives…
Learn more at .What you will do? Monitor & investigate all banking transactions and detect irregularities if any; Prepare weekly bank reconciliation…
Required skill set\r Sound accounting knowledge\r Through knowledge on Ledger review and Trial Balance analysis\r Must have exposure on reconciliation of ledgers,…
Job Description About BDO RISEBDO RISE stands for round the clock international services for excellence and provides exceptional client services to our…
Ability to analyze large volume of complex financial information from many sources and create reports, forecasts, and projections\r . Strong problem solving…
ROLES & RESPONSIBILITIES \r \r \r \r \r Maintain all records like Vouchers, Receipts, Bills and Payments. \r Bank Reconciliation, Payment Collection,\r…
1) Accounting Entries\r 2) Taxation (GST, TDS), filling returns\r 3) Book Keeping\r 4) Bank Reco\r 5) Accounting Software (Tally)\r 6) Handling compliance…
Position SummaryPosition responsible for customer conservation. Ensure premiums are reconciled on a monthly basis with Group Facts (application). Process manual premium payments…
\r Client Receipt Processing and deposit of cheques with Banks\r Processing New Booking, Allotment/Intimation Letters in CRM Module\r Raise Billing to New…
The Citibusiness Relationship Manager 2 is a developing professional role. Applies specialty area knowledge in monitoring, assessing, analyzing and/or evaluating processes and…
The Rec & Proofing Analyst 1 is a trainee professional role. Requires a good knowledge of the range of processes, procedures and…
Daily Cash Entries & bank Transaction.\r Monthly Bank Reconciliation & TDS Working (Monthly & Quarterly)\r Monthly Party Payment preparation\r Debtors & creditors…
The Global Treasury BALANCE Sheet Management (BSM) is part of the CFO Treasury organization. The primary focus of the team is providing…
DescriptionTeam ProfileCorporate Treasury provides corporate finance advisory services to senior management and the business units, maintaining the firm\'s liquidity, optimizing its capital…
The Global Treasury BALANCE Sheet Management (BSM) is part of the CFO organization. The primary focus of the team is providing various…