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Cash Management Specialist

Hyderabad, Telangana, India 职位编号 R0000037797 类别 Finance
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关于这个职位

Job Purpose:

To provide support to the Cash Management Manager and to assist in all aspects of payments and bank reconciliations ensuring the completeness and the recording of all bank transactions

Key Accountabilities:

Accountability

Supporting Activities

Reconciliations

  • Maintain cash management module within Oracle and reconcile the bank accounts and Cash in Transit for assigned accounts on a monthly basis ensuring all reconciling items are cleared by the next month
  • Assist in the Reconciliation of all Cash and Petty Cash accounts monthly.
  • Assist in the Payment transfer to GL weekly and ensure that monthly Close is within the deadlines
  • Liaise with the Corporate Systems Group to ensure financial applications support reporting requirements
  • Drive Process Automations by identifying Improvements through bringing leading practices and technology solutions

Audit

  • Liaise with Auditors at year end and assist GL team in the preparation of the year end audit file;

Skills:

  • Firm understanding of accounting concepts and experience with accounting information systems.  
  • Excellent communication skills (verbal & written) and ability to liaise effectively with non-financial staff and senior management.
  • Proven reconciliation skills

Knowledge and Experience:

  • One to three year's experience is required. Knowledge of Oracle Financials preferred

Education:

  • Graduate in accounting with MBA / Mcom or CA/ICWA (Intermediate),
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