07 Aug
|
Niva Bupa
|
India
KEY RESPONSIBILITIES:
? Performing Bank Reconciliation and arrange to close open items with
respective stake holders
? Coordination with bank account opening and signatory updation
? Customer balance review and arrange to resolve the debit and credit
balance.
? Publish the various MIS related to customer balances
? Manage the reporting related to customer and GWP
? Independently handling the various audits i.e. Statutory, Internal, ICFR,
IRDA.
? Independently handling monthly end closing activity with accuracy.
? Ensuring correct booking of premium in financial system and drive
reconciliation with various other system
? Identify the process improvement and automation prospects and drive
for closure.
KEY STAKEHOLDERS
? Internal: All departments
? External: Banks, Partners Auditors?
Disclaimer : This job posting has been aggregated from external source. Role details, content, and availability are subject to change. Applicants are advised to confirm the latest information directly on the company website before applying.
📌 Manager Finance Noida (India)
🏢 Niva Bupa
📍 India