Responsible for Account Payable/ Cash Management and Bank dealing Cash and Fund Flow Management, Cost and Credit Control and Inventory Accounting and Cost Management.
# Finalization of Accounts, preparation of financial statements, business activity reports, MIS Reports, Budgeting and forecasts.
Monthly preparation of cash flow statements Regular review of investment of spare funds to ensure effective utilisation of funds including keeping track of interest rates to maximize the interest revenue.
|8 - 14 Years
|7 Lac To 13 Lac P.A.
|Financial Services / Banking, Investments / Insurance / Stock Market / Loan
|Taxation Treasury Bank Accounting banking finance Trade Finance Finance Analyst Senior Finance Manager
A Client of Connexions Management consultants
|A well reputed group looking finance manager profile
Hi! Simply click below and type your query.
Our experts will reply you very soon.