Learning all the process in Treasury and maintain the records as per the requirement.
Journal creation for bank account transactions.
Perform bank reconciliations - reconciliation of the bank statement against the GL and reconciliation of any assigned clearing accounts.
Consolidating the Funding request and send to Corp/Regional Treasury for FX conversions.
Initiating the payments related to Treasury and send for release.
Managing the manual documents and maintain the tracker with proper approvals.
Maintain daily productivity log.
Willingness to work in complex environment with strict deadlines on projects.
Provide timely reports/information to the Team Leaders/managers on maintenance of policy Handle any other responsibilities including projects as assigned by the Team Leader or the Management.
The experience we re looking to add to our team:
B.COM / BBA(Finance) / M.COM / MBA(Finance) with at least 60% aggregate score is preferred.
Good understanding on MS applications (Basic level).
Good knowledge of accounting principles.
Good written/oral communication skills in English Good analytical skills and should be a team player.
Willingness to work in complex environment with strict deadlines on projects