Key Responsibilities Board Advisory & Strategic Influence ? Strategic Partnering: Act as a critical advisor to the Board and Promoters, providing data…
Role: Manager - Finance & Accounts Type: Full time Location: Okhla, New Delhi Reporting to: Chief Financial Officer Key Responsibilities: Accounting, Closing…
Business FunctionRisk Management Group works closely with our business partners to manage the bank's risk exposure by balancing its objective to maximise…
Manage daily treasury operations including cash flow monitoring, fund transfers, and bank reconciliations. ? Execute short term and long term investment decisions…
JD: 1). Manage finance operations including accounting, management accounting, finance control, management of assets/facilities & Human Resource control. 2). Develop and implement…
At ABB, we help industries outrun leaner and cleaner. Here, progress is an expectation for you, your team, and the world. As…
Job Description Job Title: SAP FI Treasury Risk Cash Liquidity Mgmt Req Id: 103545 City: Bengaluru State/Province: Karnataka Posting Start Date: 10/14/25…
Job Title Treasury Analyst/Consultant S&C GN CFO&EV Management Level: 11 Analyst / 09 Consultant Location: Gurgaon, Mumbai, Bangalore, Pune, Hyderabad Must have…
The Treasury Manager will look after developing and implementing strategies to optimize cash flow, manage liquidity, FOREX & risk management, and maintain…
Job Description: Manage daily treasury operations including cash flow monitoring, fund transfers, and bank reconciliations. Execute short term and long term investment…
Accounting, Control and Compliance Overall end to end owner of accounting, control and compliance for the assigned entities (High Significant risk/Manufacturing/ Non…
Business Functions As an Asian leader in treasury operations, DBS Global Financial Markets (GFM) extends a broad range of capabilities ranging from…
Skill required: Cash and Liquidity Management Derivatives Middle Office Designation: Treasury and Risk Associate Manager Qualifications:Chartered Accountant/Cost And Works Accountant/Master of Business…
An Equity Dealer is a professional who specializes in buying and selling stocks (equities) on behalf of clients, companies, or institutional investors.…
Skill required: Cash and Liquidity Management Derivatives Middle Office Designation: Treasury and Risk Associate Qualifications:BCom Years of Experience:1 to 3 years About…
JLL empowers you to shape a brighter way . Our people at JLL and JLL Technologies are shaping the future of real…
As part of an industry leading team, you will help empower results for our clients by delivering innovative and effective solutions as…
At American Express, our culture is built on a 175 year history of innovation, shared values and Leadership Behaviors, and an unwavering…
InterCo Responsible for supporting Honeywell SBG Specific Intercompany activities Need end to end understanding of Intercompany cycle/workstreams, including Intercompany Accounting, Intercompany Reporting,…
Skill required: Cash and Liquidity Management Derivatives Middle Office Designation: Treasury and Risk Senior Analyst Qualifications:BCom Years of Experience:5 to 8 years…