As a part of Cash Management team, we are responsible to perform reconciliation on daily & monthly reconciliation of APAC
Region. Booking cash GL transactions, preparing cash forecasting, supporting audits, reporting HVT transaction and clear
them with in TAT. Also involved in optimizing reconciliation processes, reviewing bank reconciliations, ensuring timely
submissions, and engaging in reporting and analytics
| ๐ Nationality | ๐ฎ๐ณ India |
| ๐ก Residency | ๐ฎ๐ณ India |
| ๐ Location | ๐ฎ๐ณ India |
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rok.co/@hruti08 |
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sdfljasfjkhsdfajsf โญ๏ธ Upgrade to Premium to contact |
| Skilled in | payroll support microsoft excel continuous improvement auditing variance analysis bank reconciliation |
| Fluent in | english |
| Preferred annual pay (min) | $25,000/year |
| Last seen | 1 year ago |
| Signed up | 1 year ago |
| Badges |
๐ฉโ๐ป Remote worker ๐ Early adopter |
2018 - Now: Financial Accountant @ Oracle India
2011 - 2018: Domain Trainee @ Genpact India
2024 - Now: Certified FPNA profession @ FPNA professional
2009 - 2011: MBA Finance @ SRM University , Ghaziabad