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Associate Manager Treasury & Reconciliation
Rapido
posted 9hr ago
Flexible timing
Key skills for the job
Job Overview
The Treasury & Reconciliation Executive is responsible for managing daily banking and
treasury functions, ensuring the accurate reconciliation of bank accounts, payment
gateways, and other financial data. This role requires advanced Excel skills for data
analysis, reconciliation, and reporting. The individual will be responsible to streamline
processes, maintain accurate financial records, and support cash management
activities.
Key Responsibilities
1. Bank Reconciliation
ledger.
2. Treasury Operations
3. Payment Gateway Reconciliation
internal financial systems.
4. Accounting Support
5. Advanced Excel and Data Analysis
data analysis, and reporting.
6. Process Improvement
processes.
reporting.
7. Compliance and Reporting
documentation.
Expectations
1. Education: Bachelors degree in finance, Accounting, or related field.
2. Experience: 2-5 years of experience in treasury, accounting, or reconciliation roles, preferably
in a banking or financial services environment.
3. Skills:
4. Additional Preferred Skills: Familiarity with online banking systems and payment gateway
platforms.
Employment Type: Full Time, Permanent
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4-8 Yrs
4-10 Yrs
Delhi ncr, Bangalore / Bengaluru, Hyderabad / Secunderabad +1 more