10 Sep
|
Aurionpro
|
Navi Mumbai
10 Sep
Aurionpro
Navi Mumbai
Key Responsibilites:
Handle daily, weekly, and monthly financial reconciliations of payment gateway transactions.
Monitor merchant settlements, nodal account transactions, and bank reconciliations.
Assist in preparation of MIS reports and financial statements.
Verify transaction accuracy and investigate discrepancies.
Manage treasury operations including fund flow monitoring and liquidity planning.
Process and oversee vendor payments ensuring accuracy and timely disbursement.
Prepare and manage customer/vendor invoicing and related documentation.
Liaise with banking partners for funding requests, account operations, and financial coordination.
Monitor bank balances and support daily cash management activities.
Coordinate with internal teams for payment approvals and reconciliations.
Ensure compliance with internal financial controls and banking procedures
Required Qualifications
Qualified Chartered Accountant
Robust understanding of accounting principles and financial reporting
Positive knowledge of GST, TDS, and statutory compliance
Proficiency in Microsoft Excel
Understanding of payment systems, banking, or FinTech concepts is preferred
Preferred Skills
Analytical and problem-solving abilities
Attention to detail and accuracy
Ability to work with large transaction data
Valuable communication and stakeholder management skills
Familiarity with ERP/accounting software (Tally, SAP, Oracle, Zoho, etc.)
Basic understanding of RBI Payment Aggregator regulations is an advantage
📌 Chartered Accountant Finance & Compliance Navi Mumbai
🏢 Aurionpro
📍 Navi Mumbai