Treasury-Sr Process Associate
Job Description
Key Skills
1 candidate(s) have already applied for this Job. Apply now
EDUCATION
Graduates and/or post graduates with 3 to 10 years of work experience
Good Knowledge of MS Office Word, Excel
SKILLS
Language requirement – English
Analytical thinking
Strong analytical skills, Communication skills
Result orientation
RESPONSIBILITIES
Treasury accounting, Payment management, Bank Reconciliation, Cash in hand reporting, Cash in transit, Contra transactions reconciliation, Employees advances reporting,
Regional collection reporting, Reconciliations for Visa, Petty cash & staff advances etc.
AR cash application of receipts including amendments. Journal processing, AR receipts & adjustments, Histrocial aged TB report, collection file maintenance etc
Treasury payments (IC/Tax/Statutory), Cash flow forecast & Liaison with banks.
AP Payments, reporting & reconciliations
Supporting Statutory audit, Internal audit & GFCs compliances
SLA/KPI tracking & reporting
Apply Cash in ERP
Prepare Cash reports(Cash positioning activities/Forecasting)
Research unapplied cash
Co-ordinate with Clients for Remit information
Query resolution
Debt process
Payment Controls
PAN and DOB are required for profile creation
Role
Treasury
Timings
Rotational Shifts (Permanent)
Industry
BPO
Work Mode
Work from office
Process
Non-Voice
Functional Area
Banking / Financial Services
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Interview Tips
- Giving the VNA round?
- What are the most important skills you acquired as a Soft Skills/VNA trainer?
- How would you handle an irate customer?
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