15

Transaction Banking Jobs

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  • 2 - 3 yrs
  • Kalaburagi Gulbarga
Banking Operations Knowledge Team Handling & Staff Supervision Cash Handling & Transaction Monitoring Loans Insurance Risk Management & Compliance Awareness Problem-Solving & Decision-Making CRM
Key Responsibilities:Manage daily accounting operations and maintain financial recordsMonitor cash transactions, deposits, and withdrawalsPrepare and verify ledgers, balance sheets, and financial reportsEnsure compliance with banking policies, KYC, and audit requirementsHandle account reconciliation and resolve discrepanciesSupport internal and external auditsSupervise junior accounting staff and ensure workflow efficiencyAssist Branch Manager in overall branch operationsMonitor loan and deposit accounting processesEnsure proper documentation and record-keeping
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  • Fresher
  • 8.5 Lac/Yr
  • Kochi
Fixed Asset Accounting Balance Sheet Direct Tax GST Return Vendor Payments Transaction Banking MIS Preparation
We are seeking a motivated, detail-oriented Chartered Accountant to join our finance team in Kochi. This is a full-time position ideal for fresh graduates who are eager to apply their education in a practical setting.**Key Responsibilities:**- **Financial Reporting:** Prepare accurate financial statements and reports. You will ensure that all financial data is correctly recorded and complies with established accounting principles.- **Tax Planning and Compliance:** Assist in preparing tax returns and ensuring compliance with tax regulations. You will be responsible for minimizing tax liabilities while adhering to the law.- **Audit Support:** Collaborate with external auditors during the annual audit process. You will assist in gathering necessary documentation and provide clarifications as needed.- **Budget Management:** Participate in the preparation and monitoring of budgets. This involves tracking expenses and ensuring the organization stays within financial limits.- **Account Reconciliation:** Regularly reconcile bank statements and other financial records. This ensures the accuracy of our financial standing and identifies discrepancies promptly.**Required Skills and Expectations:**The ideal candidate should possess strong analytical skills and attention to detail. Proficiency in accounting software and Microsoft Excel is essential for managing financial data effectively. Good communication skills are necessary for presenting complex financial information clearly to colleagues and stakeholders. A commitment to continuous learning and professional development is expected, along with a strong sense of ethics and integrity in financial matters.
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  • 0 - 1 yrs
  • Salem
Financial Transactions Documentation Management Banking Regulations Analytical Thinking Teamwork Multitasking Fraud Prevention
We are recruiting for Bank Operations Executive ensures seamless daily branch or corporate banking activities by processing transactions accurately, managing customer accounts, and maintaining compliance with regulatory standards. Key responsibilities include handling payments, wire transfers, and KYC documentation, resolving queries, and supporting administrative workflows to improve efficiency.
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  • 2 yrs
  • 7.5 Lac/Yr
  • Sachin Surat
Taxation Direct Tax TDS Bank Reconciliation General Ledger Income Tax Return Tally GST Transaction Banking Entry
Manage accounts payable and receivable processes,Reconcile bank statements and resolve any discrepancies,Maintain the general ledger and ensure all financial transactions are accurately recorded,erform month-end and year-end closing activities,Prepare and submit tax returns and other statutory filings.
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  • 5 - 9 yrs
  • 4.0 Lac/Yr
  • Juinagar Navi Mumbai
JD - Knowledge Of Tally GST Reconciliation TDS TCS E-INVOICEING E-WAY BILLING PETTY CASH BANKING TRANSACTIONS PO GENERATION DC SALE INVOICE LEDGER PAYABLES RECEIVABLES PAYMENT COLLECTIONS BANK RECONCILIATION Email MS Office Etc Tally Purchase Accounting Account Receivable Tally ERP Bookkeeping Accounting Software Journal Entries Balance Sheet Accounts Finalisation
Jd - Knowledge of Tally, Gst Reconciliation, Tds, Tcs, E-invoicing, E-way Billing, Petty Cash, Banking Transactions, Po Generation, Dc, Sale Invoice, Ledger, Payables, Receivables, Payment Collections, Bank Reconciliation, Email, Ms Office Etc
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Account Specialist (Female)

HNS Gold Private Limited

  • 1 - 4 yrs
  • 3.3 Lac/Yr
  • Chandapura Bangalore
TDS Transaction Banking GST Return Transaction Services
Handle day-to-day accounting & Tally entries, Manage GST filings, TDS, returns, and reconciliationsTrack and verify branch-wise transactionsBudget planning & expense monitoring Coordinate with internal audit teams
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Hiring Freshers || Banking Executive

ADITHYA IT SOLUTIONS PVT LTD

  • 0 - 1 yrs
  • 3.0 Lac/Yr
  • Salem
Digital Banking Allows Customers to Access Banking Services Such AS Account Creation Payments E-commerce Transactions and Loan Applications Online.
A digital banking executive manages the online and mobile banking services for a bank. They are responsible for acquiring new customers, ensuring customer satisfaction, and meeting sales targets. Responsibilities Customer acquisition: Enrolling new customers in mobile bankingSales: Meeting sales targets for mobile banking activation and usageCustomer service: Providing excellent customer service and responding to customer feedbackProduct campaigns: Participating in product campaigns to ensure customers have access to product informationKYC: Following Know-Your-Customer (KYC) inspection requirementsStrategic planning: Overseeing strategic planning for digital platformsProject management: Managing projects to enhance digital platformsCollaboration: Working closely with IT and marketing teams to improve digital platforms
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  • 0 - 3 yrs
  • 2.5 Lac/Yr
  • Rajkot
Tally Account Payable GST Computer Miracle Transaction Banking Bank Reconciliation
Accounts Receivable & Payable: Assist in processing invoices, payments, and receipts. Monitor and track accounts payable/receivable balances and ensure timely payments and collections.Record Keeping: Maintain and update financial records, ensuring accuracy and completeness.Bank Reconciliation: Perform monthly bank reconciliations and assist in resolving discrepancies.Data Entry: Input accounting data into accounting software or spreadsheets for accurate record-keeping.
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Finance Manager (Full Time)

Lakshmi North East Solutions (LNES)

  • 5 - 10 yrs
  • 8.0 Lac/Yr
  • Dhubri
Accounts Tally Financial Planning Corporate Finance Financial Reporting Financial Modelling Cash Flow Management GST Return Budget Analysis MIS Reports Transaction Banking
1. Should have a good knowledge in accounts with GST and IT Return.2. Proper Filing and Voucher/Bill Maintenance3. Preparing budget forecasts & MIS reports4. Tracking payments from both internal and external stakeholders.5. Handling monthly, quarterly and annual closings.6. All Banking Related works
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Banking Executive

Maxemo Capital Services Pvt Ltd

  • 2 - 4 yrs
  • 2.8 Lac/Yr
  • Netaji Subhash Place Delhi
Vendor Payments Payment Executive P Transaction Processing Transaction Executive Transaction Banking Premier Banking Banking Operations C Computer Knowledge Private Banking SME Banking
Responsible for all kinds of payment processing 1 NEFT2 RTGS3 Retail Payment4 Commercial Payment5 Vendors Payments6 TDS, GST, PF, ESIC, Salary Payout (Payments)7 LC Payment.8 Intercompany transactions.9 All kind of transition-related companies.
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SME Banking Transaction Banking Trade Finance Treasury Acquisition Relationship Manager
Job Role: To acquire New to Bank customers in SME segment offering banking solutions/products (Asset based( Fund/ Non Fund), Transaction Banking, Trade Finance, Treasury - FX) Collaborate with banks internal channels as well as open market sourcing for lead origination. To understand customers business model, appraise financials to identify suitable opportunities. Engage with Credit & risk function, legal & technical teams, CAD, GTS team for seamless customer onboarding. Ensure closure of deferrals & compliance to banks audits and statutory requirements. To ensure pleasant on-boarding experience for NTB customers and smooth transition to portfolio team.
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Call Handling Customer Needs Resolution Of Complaints Customer Engagement BFSI Digital Banking MIS Cross Selling Financial Transaction Senior Management Walk in
Position description: Ensuring that customers get world-class services and their needs are understood andmet through financial products that the Bank has to offer.Primary Responsibilities: Customer Engagement: Continuous engagement with the portfolio customers mapped as per thecontact policy, with accurate & complete capture of interaction details. Call handling as per defined standards. Accurate resolution for customer queries. Promoting Digital Banking services for a superior customer service experience. Profiling of customers in order to aid right cross-servicing of Bank products Accurate logging and resolution of complaints. Attrition control of customers. Regular interactions with the customers and pro-actively assessing customer needs. Deepening relationship by cross selling 'sticky products' like Demat, Bill Pay, Advisory etc. Ensure portfolio quality of relationship while racing considering eligibility. Monitor large amount movements and account closure from the deposit accounts. Ensure retention of customers Achievement of portfolio parameters: Meet the defined objectives of the Portfolio managed by therespective VRM Sales: Right cross-sell of products basis profiling and engagement. Penetration of products across groups. Sales across all product segments-TPP, Assets, Cards etc. Acquiring & grouping of all related IDs of the Primary ID. Use of triggers to track maturity of FDs, movement of CASA balances etc.and prevent outflow. Ensure Staff are trained on product knowledge and requisite certifications. Income to be generated at a customer level. Interaction Quality: Achieve Quality benchmarks defined from time to time. Complete and accurate capture of call interactions, including profiling thereby aiding relationshipmanagement. Audit and Service Quality Ensure all laid down system and process are followed as stipulated byAudit and Senior Management Ensure accurate and timely
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Operation Manager

CRP Training and Development Centre

  • 0 - 2 yrs
  • Andheri East Mumbai
Banking Operations Computer Knowledge Rto Guidelines Online Process and Fees Transactions Team Leading
CRP Training & Development Pvt Ltd CTDPL is a services division of CRP Risk Management ltd, Indias only risk management company listed on BSE SME.Job Role / Title: Operations Manager Managing NBFC Clients for RTO ProcessRTO Services - End to End knowledge of RTO Vehicle Transfer .Follow up with RTO Back end Team / Field Officers / Vendors / FreelancersEnsure the Vehicle Transfer Job should happen in given Time frame.Taking the responsibility of Original Documents and ensuring it deliver safely in clients hands.Ensure delivery of region wise completion of the RTO process as per the clients requirement as per the guidelines laid down by the Regional Transport office across Pan India.Skill : Good Knowledge of Various RTO Guidelines on Pan India Basis.Should have grip on Online Process and Fees TransactionsShould have co-ordination and team leading skillsComputer Knowledge is must .Work Location : Andheri East Mumbai 400 093Full Time :Back End Activity Process 9.30 a.m. To 5.30 p.m. Employment Type: Full-time
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Associate Analyst

Plutus Capital Consultants

  • 0 - 2 yrs
  • Vashi Navi Mumbai
Investment Banking Finance CMA Data Financial Modelling Financial Analysis Due Diligence Working Capital Finance Debt Syndication Project Finance Structured Finance Bidding Advisory Transaction Advisory Finance Feasibility Finance Analyst Credit Analyst
Plutus Capital Consultants is looking to hire for advisory and syndication practice. Experience- For Fresher CA's/ MBA's looking to build their career in Investment Banking / For professionals having 0 to 2 years of work experience in the Infra space/ Banking/ NBFC or an investment bank Qualification - CA or MBA (Finance)Role Financial Feasibility Assessment for greenfield and brownfield infra assets / PPP Projects (Financial Modelling), Project Finance, Working Capital Finance, Structured Finance, Project Equity Location Navi Mumbai
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Account Assistant

S K Enterprises

  • 1 - 2 yrs
  • 1.8 Lac/Yr
  • Chinchwad Pune
E Invoice Eway Bill Banking Transactions Account Assistant
We require fresh male person for account department for the post of Accounts Assistant to handle all external accounting work, e-invoicing, eway bill, cheque deposits, couriers and other office work. Normal working hours are from 9.30 am to 6.00 pmThose who can undertake the above mentioned job responsibilities, please call8149 two 72870 Monday to Saturday between 10.00 am to 6.00 pm.Documents required for interview. 1) Aadhar Card 2) Pan Card 3) Resume 3)Pass port Photo 4) Current Address Proof And 5) Two Wheeler License
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