Search Results: 13,808 vacancies
...and imprest accounts on monthly basis;
Refund Gas Supply Deposits to Disconnected Customers; and
Reimbursement payments / Petty Cash accounts of all Gas Fields.
Timely replenishment imprest accounts after receipt of Imprest statement along with paid voucher duly...
...Position Title: Sr. Officer - Treasury
Location: Karachi
Qualification: Bachelor’s degree in finance... ...in SAP
Role and Responsibilities:
Fund management, Daily Funds Position and Weekly Funds Position.
Cash flow management & Cash Flow Forecast
Payments...
...work spans the globe and includes audit, treasury, internal control and commercial financial... ...of directions.
Your ‘day to day’
1. Manage the development and implementation of financial... ...Policy cycle and oversee the PM cash forecasting file on a daily basis, whilst...
...subsidiary of Constellation Software Inc. (CSI), which acquires, manages and builds market-leading software businesses that develop... ...accounts within GP - Daily
Enter GL payments as required from Cash receipts
Enter debit notes into GP for returned payments
Maintain...
...teams and multi-task
Employees working in this group will gain comprehensive and holistic understanding of all the collateral management functions and are required to provide coverage during New York working hours.
Arcesium's Personal Data Privacy Notice for...
...accuracy and completeness of financial transactions related to treasury products, including trade booking, pricing, settlements, and... ...comply with internal policies and relevant regulations.
Risk Management:
Monitor and assess market, credit, and operational risks...
...Senior Manager - Treasury Investments & Operations
Senior Manager - Treasury Investments & Operations
at Careem Karachi, Pakistan Careem... ...organization's capital structure and funding globally.
Cash and Liquidity Management:
Monitor and manage daily cash balances...
...brightest minds in the industry.
What You’ll do:
Leverage your treasury expertise in collaborating with stakeholders during the... ...Understand and translate specific client requirements around cash management, counterparty exposure, uncleared margin rules, portfolio...
...What is FP&A Business Partner-Jazz Cash?
The FP&A Business Partner-Jazz Cash will work on reporting and analysis in developing a... ...Business Partner-Jazz Cash do?
Responsible for ensuring performance management and smooth operations for NBFC
Key POC for all finance...
Experience 1-2 years of experience. Fresh Candidates are also encouraged to apply Salary Depends on Experience
Qualification BS Banking and Finance, BBA/ MBA Finance, ACCA Total Vacancies 1
Posted on 17-04-2024 Last Date 21-04-2024
Location Peshawar
Incumbant...
...Email Welcome back
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Job Summary... ...package for management
Assist with cash forecasting and monitoring to ensure working... ...Network, Pakistan)
Senior Manager - Treasury Investments & Operations
Karachi Division...
...Manage and oversee the daily operations of the accounting department
Process month and end year process, accounts payable/receivable, cash receipts, general ledger, payroll and utilities, treasury, budgeting, cash forecasting, revenue and expenditure variance analysis...
...Role:
Manage online payment processing and resolve related issues effectively
Execute bank transfers, real-time gross settlement... ...finance
Experience:
~1 to 3 years of relevant experience in treasury operations with knowledge of payment processing and financial...
...Treasury Executive is primarily responsible for managing an organizations financial assets and liabilities. Their role involves overseeing cash management liquidity risk management and financial planning. Heres a breakdown of the typical job description for a Treasury...
...solutions to new financial challenges by applying financial/treasury knowledge;
Ensuring that cash flows are adequate to allow business units to operate... ...;
Job Specification
Effective financial management skillsKnowledge of finance systems and procedures in a...
...Job Description
Forecasts cash requirements for client ATMs and plans replenishment schedules to ensure the ATM estate has optimum levels of cash at all times. Ensures achievement of all customer and internal SLAs and KPI, addressing and / or escalating performance...
Experienced Cash Controller with VAT knowledge required urgently.
Any nationality.
On visit or transferable residence visa. REQUIREMENTS
Experience: 3 years minimum . Nationality: european preferred PROVISIONS
Residence visa provided Salary: Negotiable
...accounting services for Warner Bros. Discovery entities. The role will be based in Hyderabad, India and will report directly to the Manager – Record to Report based in India. The RTR Accountant will need to work for their respective region and report to the Accounting...
...towards achievement of its objectives.
Position Summary
Manager Corporate Finance & Treasury will be responsible for analyzing and reviewing... ...Develop and implement treasury strategies to manage daily cash position ensuring optimal fund utilization
Explore investment...
...position of Officer/Senior Officer Treasury Operations . Interested candidates meeting... ...or any other report required by higher management.
Repo/ Reverse Repo, Call / Clean and... ...and other routine matters.
Fulfil cash requirements of branches via coordinating...