The "Accountant - Cash Reconciliations" is a crucial member of the finance team responsible for overseeing and managing all aspects of cash management for Accounts Payable, including bank reconciliations, cash flow forecasting, and working close with treasury operations. This position requires a detail-oriented professional with expertise in reconciling financial transactions, optimizing cash flows, and ensuring financial accuracy.
Responsibilities and Duties:
Qualifications and Requirements:
Work From Home: Candidates should be based out of any of the following locations Only: Anywhere in Tamil Nadu, Kochi, Hyderabad, Bangalore, Bhopal and Mumbai.
Keyskills: treasury operations Cash Management Bank Reconciliation Cash Reconciliation Cash Forecasting Cash Flow Management Treasury Cash Flow
Sutherland Established in 1986, Sutherland Global Services is a global provider of business process and technology management services. Sutherland offers an integrated portfolio of analytics-driven back-office and customer facing solutions that support the entire customer lifecycle. One of the l...