Job Description
Job Description
b Ensuring timely payments related to exchange transactions and/or Open Access payments in case of bilateral transactions.
c Invoicing & ensuring revenue realizations in case of bilateral transactions as per contract terms.
d PSM (LC/BG/Advance) monitoring and reconciliations as per contract
e Ensuring budget availability for SAP entry (projection & mapping)
f Ensuring timely booking of revenues & expenses in SAP. (Accounting of Accounts Payable & Receivables)
g Assisting in monthly intercompany reconciliations, coordination with DT/IDT for tax related matters and correct accounting.
h Maintenance of detailed database of daily trades, posted invoices, reconciliations etc.
i DSM billing, reconciliation
a Accountable for exchange & Trading License Compliances.
b Ensuring operational compliances as per SOP and responsible for ensuring Internal compliance (ReCAT)
c Responsible for handling Exchange audits, SOX and financial audits (Internal & External).
d Timely updation of SOP as per operational changes.
a New Client Registration: Documentation and A/c & other details mapping for daily transactions.
b Departmental budget finalization
c Budget monitoring and adjustment between commitment items (approvals and coordination)
d Monthly activities as per SOP/contracts/requirements
e Data base management & documentation
f Any other activity as assigned
Job Description
b Ensuring timely payments related to exchange transactions and/or Open Access payments in case of bilateral transactions.
c Invoicing & ensuring revenue realizations in case of bilateral transactions as per contract terms.
d PSM (LC/BG/Advance) monitoring and reconciliations as per contract
e Ensuring budget availability for SAP entry (projection & mapping)
f Ensuring timely booking of revenues & expenses in SAP. (Accounting of Accounts Payable & Receivables)
g Assisting in monthly intercompany reconciliations, coordination with DT/IDT for tax related matters and correct accounting.
h Maintenance of detailed database of daily trades, posted invoices, reconciliations etc.
i DSM billing, reconciliation
a Accountable for exchange & Trading License Compliances.
b Ensuring operational compliances as per SOP and responsible for ensuring Internal compliance (ReCAT)
c Responsible for handling Exchange audits, SOX and financial audits (Internal & External).
d Timely updation of SOP as per operational changes.
a New Client Registration: Documentation and A/c & other details mapping for daily transactions.
b Departmental budget finalization
c Budget monitoring and adjustment between commitment items (approvals and coordination)
d Monthly activities as per SOP/contracts/requirements
e Data base management & documentation
f Any other activity as assigned
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