Responsible for performing various cash, disbursement, and cash accounting activities within the Corporate
Treasury function. The role is primarily focused on the General Ledger duties of a treasury department and
includes, affiliate bank accounts; perform accounting functions within the various financial systems, bank
reconciliations, audit inquiries, and backup of other core treasury functions, e.g. cash position and electronic
payments, as assigned. This individual may be required to provide input to or participate in various projects and
will perform other duties as requested.
Superior understanding of accounting/finance processes/procedures required. Understanding of system
interfaces and impacts of processes across groups/systems.
Salary: ₹ 14,00,000 - 16,00,000 P.A.
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