Job Description
Banking knowledge-
Experience in Handling Foreign currency Loans, repayment & interest calculations, Bank guarantees, Undrawn fee along with Accounting.
Basic understating of FX realised, FX unrealised and FX revaluation.
Performing scheduled & reporting activities requiring analysis and research. Interacting with the ANZ based clients to resolve queries via email and deliver on tasks.
Cash Management
Perform Record to Report -
Daily & Monthly activities.
Candidate should be ok to work in Australia shift ( Shift Timing - 03:30 AM - 12:30 PM )
Good working experience in SAP & S4 HANA is mandatory
Keen to work on new ERPs
Excellent Communication Skills required
• Excellent data analytical skills
• Agility and Adaptability
• Should be Proficient in Microsoft office package (Word/Excel/PowerPoint) to delivery day to day operational tasks
Qualifications
Qualifications
Graduate in Commerce - BCom
Additional information
- 4 Years of relevant experience in Treasury ( Cash management with foreign currency, forex payments and strong accounting skills)
Skills
Cash ManagementErpPaymentsReportingIf a job posting appears fraudulent, asks for payment, contains misleading information, or violates our guidelines, please report it immediately. Our team will review it promptly, Jobaaj does not charge any fee from the applicants.
About Company
Important dates & deadlines?
Application Deadline
20 Oct 26, 01:44 PM IST
Similar Jobs
View All




