Roles and Responsibilities
- Prepare bank reconciliations, including general ledger account reconciliations, cash reconciliations, and investment reconciliations.
- Perform daily treasury operations tasks such as processing payments, managing cash flow, and maintaining accurate records.
- Accounting for fund transfers on daily basis.
- Accounting for Investments- Fixed deposits, Mutal funds, Treasury bills, etc. in treasury and accounting software.
- Accounting for Borrowings in treasury and accounting software.
- Bank Reconciliation for all the entries posted in Oracle software on regular basis.
- Maintaining data / documents for above and sharing data for MIS and regulatory reporting.
Skills Required
Bank Reconciliation, Treasury Operations, Cash Flow Management, Payment Processing