JOB ROLE :
. Redress customer needs pertaining to cash, DDs, cheque deposits, general information.
. Speed and accuracy of transaction.
. Exploitation of other business opportunities sensed.
. Providing quality of experience that will ensure retention and positive...
...morale of branch team members
. Overall responsible for break-even and P&L of branch
Job Requirements:
. Overall 6yrs of Banking experience out of which 3-4yrs in Retail Liabilities
. Must have had Sales experience and exposure, preferably of Liabilities products...
.... Meticulous
. Eye for details
. Ability to manage and motivate front office staff.
. Thorough overall understanding of banking
. Graduate/MBA
. Graduates with 6-8 years experience
. MBA with 4-6 years experience
. Should possess customer orientation...
Rs 6 - 12 lakhs p.a.
...product suitability matrix, financial planning for the customers enrolled under Wealth management.
Acting as an interface between the bank and its HNI customers to provide complete Banking Solutions, Portfolio Management, Wealth Management and customer servicing....
...Customer relationships forliabilities and commercial assets.
Ensures high levels of customer service orientation and application of bank policy.
Cross sells existing bank products to customers.
Informs customers of new products or product enhancements to further expand...
Rs 3 - 3.6 lakhs p.a.
...Collaborative program development with Engineering, Diploma and Vocational Institutes
In house training and project work Coordination of undergraduate/non skilled program
Recruitment and selection of trainees under various training schemes.
Driving skill development...
Rs 2.4 - 3 lakhs p.a.
...financial statements in time
Handle monthly, quarterly and annual closings
Reconcile accounts payable and receivable
Ensure timely bank payments
Compute taxes and prepare tax returns
Manage balance sheets and profit/loss statements
Report on the company’s...
...activities, capture feedback on performance of competitor (and our) products.
Design and implementation of specific seasonal schemes for dealers
Liaisoning with Government Offices, financial institutions / banks for exploring new avenues for retail financing of product.
...company norms.
- Ensuring compliance are met on various accounting / financial / commercial / Tax matters, e.g. statutory payments, banks, tax authorities, vendors, customers etc.
- Providing assistance w.r.t clean Audit – Statutory, Tax and other Govt. Audits.
- Issue...
...and our) products.
Design and implementation of specific incentive schemes for dealers.
Liasioning with financial institutions / banks for exploring new avenues for retail financing of product.
Experience
Engineering graduate with about 4 to 7 years' experience /...
...Audit,
Experience in working monthly & filing Quarterly TDS & TCS returns,
Should have knowledge on BG & LC activity and work with Bank / Customer for communication,
Booking keeping & recording for Pune Plant,
Good in English for writing email and communicate with...
...About Max Life Insurance:
Max Life Insurance Company Limited is a Joint Venture between Max Financial Services Limited and Axis Bank Limited. Max Financial Services Ltd. is a part of the Max Group, an Indian multi business corporation.
Max Life offers comprehensive...
Rs 2.2 - 2.4 lakhs p.a.
...Should be able to handle day to day accounting
Should be able to handle independently statutory compliance TDS, GST, IT etc.
Bank Reconciliation
Vendor Reconciliation
Cen vat Reconciliation
Company Plant account reconciliation
Payment reconciliation
Outstanding...
Rs 1.2 - 1.5 lakhs p.a.
...urgently required Accountant
~ Financial departments with responsibility for Payroll, Accounts Payable and Receivable.
~ Preparing Bank Reconciliation Statements and monthly MIS reports
~ Maintaining, controlling the expenses of the company.
~ Monitoring cash to...
Rs 2.1 - 2.4 lakhs p.a.
...compliance submission and Rectification
Statutory compliance like GST, Excise, VAT, CST, TDS, PT, PF, ESIC, etc
Handling Petty cash and Bank reconciliation
Internal Control and Sale Acknowledgement Tracking
Monitoring Account Receivable and Accounts Payable
Monitor...
Rs 1.2 - 1.44 lakhs p.a.
...Interview Date : 05-06 July 2018
Education:- B.Com/M.com
Experience:- 0-1 year
Should be able to handle day to day accounting.
Bank Reconcilation
Billing
Balance Sheet
Hard Worker
Smart
Team Player
Can handle Work Pressure
facility : Bus...
Rs 1.8 - 2.4 lakhs p.a.
...Accountant
Interview Date: 15 FEB 2021
Education:- B.Com/M.com
Experience:- 2-5 year
Should be able to handle All GST Activity
Bank Reconciliation
Sales / Purchase Entry
Accounting and Audit
Balance Sheet
Account Finalization
Smart
Team Player...
...performance of agents and guide them to maximize their revenue by using upselling/cross-selling strategies.
Manage relationships with the bank branches that have been assigned to the Health Sales team across the zone, to drive health business.
Ensure IMD and customer...
Rs 2.5 - 3 lakhs p.a.
...and Attendance Management: Maintaining the attendance and leave records of all the employees and updating payr oll process, Preparing Bank and cash remittance.
Statutory Compliance: Handling of PF, ESIC, Labour Welfare Fund, P. TAX, Employment Ex-
change Return and...
Rs 1.8 - 2.2 lakhs p.a.
...Account Assistant
Qualification:B.com/M.com /MBA Finance
Experience : 2 -5 Year
Skill - Accounting, Tally, Mailing, Drafting, Banking, Costing
Salary: 15-18 K PM
Duty Time - 8.30AM TO 7.00PM
Jobs Location : Waluj, MIDC, Aurangabad
Interested Candidates...
Rs 3 - 4.2 lakhs p.a.
...Custom Clearance.
To tack the shipment for Import and Export .
To update the shipment status.
To prepare documents to the bank for Import and Export payment.
To prepare a commercial invoice.
To clear the pending issues with respect to DGFT
Account...
Rs 1.8 - 2.4 lakhs p.a.
...Roll & Responsibility:
# Bank Reconciliation
# Vendor Reconciliation
# Cen vat Reconciliation
# Company Plant account reconciliation
# Payment reconciliation
# Outstanding by respective area person & agent for every month Follow up for bills from vendors. & Follow...
Rs 1.68 - 1.8 lakhs p.a.
...LPA
Education: B.com/ M.com / MBA
Job Profile:-
Maintain all records like Vouchers, Receipts, Bills, and Payments.
Bank Reconciliation, Payment Collection.
Monthly GST Working.
Reconciliation of Sundry Debtors & Creditors
Payment follows up by...
Rs 1.2 - 1.8 lakhs p.a.
...interpersonal skills and Self-motivated and driven
Proven sales experience
Track record of over-achieving target
Channel Sales,Banking Sales,COMPUTER MARKETING,IT MARKETING,Induction Motors,Vehicle Loans,VEHICLE SALES,HERO SALES,CLOTHS SALES,SHOP SALES,Brand Marketing...
Rs 1.8 - 2.4 lakhs p.a.
...Invoice processing.
Processing expense requests.
Credit control.
Maintaining the company purchase and sales ledgers.
Banks reconciliation.
Raising sales invoices.
Liaising with third-party providers, clients, and suppliers.
MIS report generation....
Rs 2.4 - 3 lakhs p.a.
...Education: M.com / MBA
Gender: Male
Job Profile:-
Maintain all record like as Vouchers, Receipts, Bills, and Payments.
Bank Reconciliation, Payment Collection.
Monthly GST Working.
Reconciliation of Sundry Debtors & Creditors
Payment follows up by telephonic...
Rs 1.8 - 3 lakhs p.a.
...generating monthly on online cheques.
Financial departments with responsibility for Payroll, Accounts Payable and Receivable.
Preparing Bank Reconciliation Statements and monthly MIS reports.
Preparation of stock statement.
Calculation of TDS, Vat , EXCISE and its...
Rs 3 - 4.2 lakhs p.a.
...Claim of MEIS
Checking of Bill of lading, shipping bill
BRC tracking & monitoring
Submission of post export documents to the bank
Import & import shipment tracking
E-way bill preparation for import shipment
MIS report
Job Location: Aurangabad Chikalthana...
Rs 2.4 - 3 lakhs p.a.
...of lading, shipping bill E-seal updating for export container.
BRC tracking & monitoring. Submission of post export documents to the bank
Checking of import bill of entry. Import & import shipment tracking
E-way bill preparation for import shipment
MIS report...
Rs 3.6 - 4 lakhs p.a.
...accounts & reconciliation of financial statements in compliance with the norms.
Handling both Accounts Receivables & Payables.
Bank Payment, Bank Reconciliation, VBD Payment.
Vendor & Customer Debit & Credit Note.
Purchase& Sales Order Working & Supplementary Bill...