Handling and Processing the Forex Payment requests within the timeline while maintaining the continuous and efficient communication with the user and the banks.
Handling and processing the Imprest Requests within the organization with careful examination as per the internal Imprest Policy and subsequent arrangement of Funds.
Timely Opening and closure of Bank accounts as per the requirements while maintaining the close communication with the Banks and the concerned departments .
Registration , Renewal and Maintenance of all the LEIs of different entities within the organization Issuance and Release of Fixed Deposits along with respective accounting .
Monthly reporting of Fixed Deposit Schedule , Imprest and Forex Payments as per the specified format and requirements by the management.
Issuance / Amendment / Cancellation of bank Guarantee while maintaining the close communication with the bank the users on the requirement during the process.
Issuance / Amendment of LC while maintaining the complete record of LC utilization over the period of continuous reviewing and maintaining the record of bank charges on the issuance / amendment and cancellation of BG & LC.
Regular payments of bills against LC along with respective accounting entries.
Operational Level requirement on Investment and its accounting entries .
Monthly Reporting on BG / LC issuance in the specific format and requirements by the management.