Chennai, Tamil Nadu, India
11 days ago
Cash management
Bank Reconciliation – Daily bank account reconciliation in order to reconcile Suite and bank accounts that results ensuring no variance in both WSS and bank accounts

 

Handle loan drawdowns, loan repayments, dividend receipts/payments

 

Handle accounts payable payments, intercompany payments on timely basis

 

Handle multiple currency, multiple portfolio cash accounts

 

Monitor transaction releases for multiple currencies for future dated transactions
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