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511 jobs found for Banking Finance Instructor Manager

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  • Obtain and maintain a thorough understanding of the financial reporting and general ledger structure. Ensure an accurate and timely monthly, quarterly and year end close. Ensure the timely reporting of all monthly financial information. Assist the Controller in the daily banking requirements ...

  • Obtain and maintain a thorough understanding of the financial reporting and general ledger structure. Ensure an accurate and timely monthly, quarterly and year end close. Ensure the timely reporting of all monthly financial information. Assist the Controller in the daily banking requirements ...

  • Obtain and maintain a thorough understanding of the financial reporting and general ledger structure. Ensure an accurate and timely monthly, quarterly and year end close. Ensure the timely reporting of all monthly financial information. Assist the Controller in the daily banking requirements ...

  • Direct Recourse under Letter of Credit Export Collection Authoriser Letter of Credit Authoriser Bills under Letter of Credit/processing of Buyers Credit Authorizer Guarantees Authoriser System Security Voucher Management

  • Direct Recourse under Letter of Credit Export Collection Authoriser Letter of Credit Authoriser Bills under Letter of Credit/processing of Buyers Credit Authorizer Guarantees Authoriser System Security Voucher Management

  • Direct Recourse under Letter of Credit Export Collection Authoriser Letter of Credit Authoriser Bills under Letter of Credit/processing of Buyers Credit Authorizer Guarantees Authoriser System Security Voucher Management

  • Direct Recourse under Letter of Credit Export Collection Authoriser Letter of Credit Authoriser Bills under Letter of Credit/processing of Buyers Credit Authorizer Guarantees Authoriser System Security Voucher Management

  • Liquidation : Basis repayment made by customer, appropriate loan needs to be liquidated ( closed ) by debiting customer account. 3. Release of Commodity : On repayment of Loan basis customer advice, loan release request needs to be initiated to Collateral Manager. 4. Payouts : Calculation of Payouts

  • Liquidation : Basis repayment made by customer, appropriate loan needs to be liquidated ( closed ) by debiting customer account. 3. Release of Commodity : On repayment of Loan basis customer advice, loan release request needs to be initiated to Collateral Manager. 4. Payouts : Calculation of Payouts

  • Liquidation : Basis repayment made by customer, appropriate loan needs to be liquidated ( closed ) by debiting customer account. 3. Release of Commodity : On repayment of Loan basis customer advice, loan release request needs to be initiated to Collateral Manager. 4. Payouts : Calculation of Payouts

  • Manager in recording and retrieving financial details of the company (Turner Contemporary Enterprises Limited), including maintaining financial records, processing payments, cash handling and salaries. Key Skills:  Basic understanding of accounting processes and procedures  Good level of competence

  • received. Raising/Tracking of Approval Mails sent to business. Monitoring of General Ledger and Deferred account/s. Monitoring of Converter utility and outstanding entries in Nostro accounts. Monitoring of disposal as per mail received from Relationship Manager/Corporates/Service desk. Preparation

  • 1. Responsible for timely submission of regulatory returns for Overseas Branches and Trade finance 2. Preparation of periodic regulatory reporting's to various Regulatory bodies of India and overseas countries. 3. Liase with various departments like Credit Administration, Compliance, Treasury

  • 1. Responsible for timely submission of regulatory returns for Overseas Branches and Trade finance 2. Preparation of periodic regulatory reporting's to various Regulatory bodies of India and overseas countries. 3. Liase with various departments like Credit Administration, Compliance, Treasury

  • 1. Responsible for timely submission of regulatory returns for Overseas Branches and Trade finance 2. Preparation of periodic regulatory reporting's to various Regulatory bodies of India and overseas countries. 3. Liase with various departments like Credit Administration, Compliance, Treasury

  • Position: Sr. Manager/AGM (Finance) Qualification: CA/MBA Experience: 10 to 12 yrs Salary: 70K to 90 K Brief Responsibility: Monthly MIS reporting, of monthly revenue with budgets/ forecast, Internal Audits, Handling VAT Audits. Service Tax Audits, Liaison with Bank. Daily/ Monthly Cash

  • list/Specially Designated Nationals list, Harmonised System of Nomenclature Code. Check Outstanding Post Due Obligations. Check Credit Appraisal Memo for conditions. Check Limits in system, if available. If not available, raise the request to concerned team i.e. Business Banking Operations, Credit Administration

  • list/Specially Designated Nationals list, Harmonised System of Nomenclature Code. Check Outstanding Post Due Obligations. Check Credit Appraisal Memo for conditions. Check Limits in system, if available. If not available, raise the request to concerned team i.e. Business Banking Operations, Credit Administration

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