.Trade Processing - Buy/Sell tickets (record the transactions in the system), Security Master File recon, reconciliation (trade, positions, cash etc.) trade posting, Liaison with broker and bank for confirmation, allocation and settlements, identify...
...Company Description Global Ledger Automation Private Limited is an accounting firm located in Noida. We provide bookkeeping, administrative, and professional support to help our clients grow their businesses. We he...
...Periodic Reconciliation of Vendor, Customers & Bank, Controlling bank activities, Correspondence,Letter Typing & Mailing.
Interacts with Bank Officials for BANK Guarantee and Letter of Credit and various Banking a...
...EY-Infrastructure Advisory –Strategy and Transactions – Manager
The team is part of EY Global Delivery Services (GDS), SaT. As... ...recommendations
# Develop and review project finance ...
...seekers, don't miss your job opportunities in both Government and Scheduled Banks.
✅ Different Type of Bank Jobs:
Clerical Cadre (Clerk)
Office Assistant
Attendant
Cashier
Junior Associates
Peon
...
...stakeholders as required.
Qualifications
Proficiency in accounting software and Microsoft Office tools
Experience in accounting, bookkeeping, and taxation
Knowledge of Indian accounting laws, standar...
.Trade Processing - Buy/Sell tickets (record the transactions in the system), Security Master File recon, reconciliation (trade, positions, cash etc.) trade posting, Liaison with broker and bank for confirmation, allocation and settlements, identify...
Key Responsibilities/ Key Deliverables:
Will be responsible for meeting sales target through Bank's FOS.
Will be responsible for maintaining relationships with all corporate salary team in the assigned Bank Branches
Keeping accurate recor...
...description are as follows:-
Position Name: Audit Executive
6. Job Description: Minimum1 year of experience in Bank Concurrent Audit of Credit Portfolio.
Proficient understanding of credit risk management an...
.Trade Processing - Buy/Sell tickets (record the transactions in the system), Security Master File recon, reconciliation (trade, positions, cash etc.) trade posting, Liaison with broker and bank for confirmation, allocation and settlements, identify...