KEY RESPONSIBILITIES – STRATEGIC JOB RESPONSBILITIES:
- Responsible for Cash & Liquidity Management.
- Updating KYC for different banks as per requirements and relation with bank.
- Liaise closely with BRS team to clear any open bank reconciliation open items.
- Responsible for Funds management & Initiating payments within Inter-Companies (Trade & Non-Trade ) and external suppliers.
- Manage Account Opening and Closure and set up of Online Banking,
- Assist cash management team during month-end reporting.
- Support Statutory Audit and Risk Management. Assist in audits and provide information for verification as and when required
- Managing all banking queries in coordination with corresponding internal departments
- Ensure that adequate controls are in place with respect to segregation of duties and other cash management activities.
- Ensure standard SLAs and KPIs are strictly adhered.
Skills
Academic Qualification:
- Graduate or Qualified or semi qualified accountant in financial accounting.
Work Experience:
- 2-3 years of experience in Treasury, Banking, Trade Finance Dept/Team.
Business Skills:
- Good F&A knowledge of processes managed under SSC
- Ability to perform under pressure
- Ability to detect the gaps and propose the solution
- Ability to document the process
- Ability to identify and resolve problems and be innovative.
Technical Skills:
- Worked on Oracle / SAP accounting software
- Advanced knowledge Excel and MS office skills
- Understand Financial compliance.
- General Ledger Management and strong accounting skills.
Personal Skills:
- Strong verbal and written communication skills
- Professional & positive attitude with a willingness to learn and drive improvements and efficiency.
- Analytical skills