NextRaise Logo
JobsTrackerResumes
Job MatchATS
ResumesJobsProfile
Jobs / Treasury Analyst in India
1 month ago
Apply with autofill
Apply with autofill
EX
EXL·1 month ago
1 month ago

Cash Management

Delhi NCR, IndiaHybridMid · 2-5 years

Sign up free to see how well your resume matches this role.

About this role

  •  
  • Able to understand the nature of transaction in the bank and allocation cash in system and help team for their immediate query
  • Should be able to handle the process of Manual payment processing, return payments and cash flow & retail reconciliation
  • Should be able to create all MI reporting on time along with monthly creations of SLA data.
  • Able to promptly take action for Stop or reinstate cheque request, transfer Lodgments Debits/Credits.
  • Payment processing as per request received with utmost accuracy
  • Understand of write offs, offsets and partial allocation of cash, commission adjustments in systems and its reversal
  • Ability to understand the nature of query from customer and able to provide a solution withing a short timeframe. 
  • Ensure that the quality of the transactions is in compliance with predefined parameters 
  • Ensure adherence to Company Policies and Procedures
  • Understanding of bank reconciliation, open items, debit & credit clear understanding.
  • Focus on Customer Satisfaction, rapport building, effective communication and timely resolution of Customer concerns 
AI tools
Apply faster with autofillThe NextRaise extension autofills your application in one click.Get the extension

Similar jobs

  • Treasury ALM Analyst - Emerging Lead at State StreetBengaluru, India
  • Assistant Manager - Banking & Treasury at arisinfraMumbai, India
  • Product Associate, Liquidity & Account Solutions at JPMorgan ChaseMumbai, India
  • Treasury Analyst at franklintempletonHyderabad, India
  • Data Validation-Liquidity at capcoIndia
  • Treasury Analyst at iconChennai, India