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553 jobs found for Senior Corporate Finance Maharashtra

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  • Client management providing first class service to stakeholders across the Trading desks, Prime Brokerage, Other Operations teams and Finance ...

  • Client management providing first class service to stakeholders across the Trading desks, Prime Brokerage, Other Operations teams and Finance ...

  • and liaising with Tax/ Corporate/ External Advisors to facilitate the completion of tax returns by filing deadlines Work to address queries from Director during FS review obtain approvals Work with Tax team to obtain approvals on tax workings and disclosures Book all stat adjustments in SUN and G Ledger

  • and sending it across to the corporate team. Preparing the audit schedules and co-coordinating with both internal and external auditors for financial reporting during the quarter end and year end. Preparing financials, notes to accounts and significant accounting policy as per statutory regulation Good interpersonal skill Adaptability. Planning and organizing. Conflict resolution. Strong organizational ...

  • -Involved in Valuations of NON OTC & Fixed income products for Hedge Funds -Checking the authenticity of prices and providing pricing packs to the client for daily, weekly or monthly NAV -Finding clients for the overseas arbitrage fund -Play a key role in cash flow and finance management -Reading the Survey

  • -Involved in Valuations of NON OTC & Fixed income products for Hedge Funds -Checking the authenticity of prices and providing pricing packs to the client for daily, weekly or monthly NAV -Finding clients for the overseas arbitrage fund -Play a key role in cash flow and finance management -Reading the Survey

  • -Involved in Valuations of NON OTC & Fixed income products for Hedge Funds -Checking the authenticity of prices and providing pricing packs to the client for daily, weekly or monthly NAV -Finding clients for the overseas arbitrage fund -Play a key role in cash flow and finance management -Reading the Survey

  • -Involved in Valuations of NON OTC & Fixed income products for Hedge Funds -Checking the authenticity of prices and providing pricing packs to the client for daily, weekly or monthly NAV -Finding clients for the overseas arbitrage fund -Play a key role in cash flow and finance management -Reading the Survey

  • and build a strong and robust MIS platform and program & drive productivity initiatives to improve controls Corporate governance involving external risk reporting to stakeholders; Business continuity plans to limit risks Ensure policy and process audits; Adherence to compliance standards; liaisoning Skill Sets: - Graduate or Post-Graduate with 12- 15 years in Risk and Credit management specific to ...

  • report for the entries posted in Flexcube Corporate and Flexcube core system. Remitting Funds through RTGS/NEFT for Inland payment Conduct client meetings as mandated. Refund of Interest in case of pre-poned payments post proper check, If client claims. To ensure proper safe keeping of documents ...

  • To check swift message if any received with respect to presentation/other instruction received. Check Office of Foreign Assets Control list/Specially Designated Nationals list. Authorization of bills in Flexcube Corporate system. To check if all Message Type 734 messages have been authorized/sent

  • To check swift message if any received with respect to presentation/other instruction received. Check Office of Foreign Assets Control list/Specially Designated Nationals list. Authorization of bills in Flexcube Corporate system. To check if all Message Type 734 messages have been authorized/sent

  • To check swift message if any received with respect to presentation/other instruction received. Check Office of Foreign Assets Control list/Specially Designated Nationals list. Authorization of bills in Flexcube Corporate system. To check if all Message Type 734 messages have been authorized/sent

  • To check swift message if any received with respect to presentation/other instruction received. Check Office of Foreign Assets Control list/Specially Designated Nationals list. Authorization of bills in Flexcube Corporate system. To check if all Message Type 734 messages have been authorized/sent

  • and build a strong and robust MIS platform and program & drive productivity initiatives to improve controls Corporate governance involving external risk reporting to stakeholders; Business continuity plans to limit risks Ensure policy and process audits; Adherence to compliance standards; liaisoning

  • for the entries posted in 7.Flexcube Corporate and Flexcube core system. 8.Remitting Funds through RTGS/NEFT for Inland payment 9.Refund of Interest in case of pre-poned payments post proper check, If client claims. 10.Maintaining of tracker for signature verification of banks and Bank Visit 11.Report (BVR ...

  • for the entries posted in 7.Flexcube Corporate and Flexcube core system. 8.Remitting Funds through RTGS/NEFT for Inland payment 9.Refund of Interest in case of pre-poned payments post proper check, If client claims. 10.Maintaining of tracker for signature verification of banks and Bank Visit 11.Report (BVR ...

  • for the entries posted in 7.Flexcube Corporate and Flexcube core system. 8.Remitting Funds through RTGS/NEFT for Inland payment 9.Refund of Interest in case of pre-poned payments post proper check, If client claims. 10.Maintaining of tracker for signature verification of banks and Bank Visit 11.Report (BVR ...

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