Posted:2 weeks ago| Platform:
On-site
Job Description Roles & Responsibility Key Responsibilities: Manage cash flow related to specific activities and projects. Apply accounting treatments for various transactions. Perform payment reconciliations for expenditures. Handle claims processing and resolution. Assist in preparing financial reports for budgets. Support budgeting and financial planning efforts. Ensure compliance with financial policies and regulations. Requirements: Knowledge of cash flow management, accounting, payment reconciliation, and claims. Strong analytical skills and attention to detail. Ability to collaborate with cross-functional teams. Proficiency in accounting software and financial tools. Required Qualification: MBA Finance Required Experience: 1 yrs - 2 yrs Base Location: Ahmedabad, Gujarat, India (On-site) Salary: py@cavitak.com | (+91) 7285 015 015
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