nWork Model: Work From Office , Night Shift( 5pm-2am)
nDuties and responsibilities:
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- Monitoring daily cash balances to ensure sufficient funds for business operations.
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- Managing fund transfers between accounts and ensuring timely payments.
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- Performing daily/monthly bank reconciliations to ensure accuracy in financial records.
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- Verifying and recording all financial transactions related to treasury operations.
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- Coordinating with banks for fund transfers, loan documentation, and account management.
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- Assisting in treasury budgeting and forecasting cash requirements.
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- Coordinating with auditors for treasury-related data and reports.
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- Ensuring proper record-keeping for all financial transactions.
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nQualification &
Experience:
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- Graduation in finance stream with minimum 50%
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- 1-2 years of experience in Payment processing and reconciliation.
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- Solid reporting and documentation skills. Interpersonal skills and team player to collaborate with internal and external stakeholders.
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- Multi-tasking and time management to work under tight schedules.
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