Location: Mahape, Navi Mumbai, Maharashtra
Employment Type: Third Party Payroll
Company Type: Indian Custodian & Depository Participant (Public Limited Company)
Job Opportunity:
Manage end-to-end pay-in and payout processes including settlement, urgent, and Bill-to-Bill
payouts.
2. Handle banking operations such as cheque approvals, direct transfer receipts, payment
gateway receipts, and bank reconciliations.
3. Perform daily reconciliation of banks, Valan accounts, payment gateways, and control
accounts.
4. Maintain accounting entries, control JVs, trial balance controls, and cash flow monitoring.
5. Coordinate with banks, exchanges, TCS, RMS, and internal departments for operational
support.
6. Handle client/branch queries, unidentified receipts, debit balance intimations, and
communication records.
7. Ensure compliance with SEBI settlement guidelines including monthly/quarterly payouts, file
uploads, and reporting.
8. Monitor daily operational controls, system EOD activities, corrective actions, and process
accuracy.
Key Responsibilities:
• Assisting in day-to-day accounting activities
• Data entry and maintaining accounting records
• Supporting the team in reconciliation and documentation
• Handling basic accounting and financial data processing
• Assisting during internal and statutory audits when required
• Coordinating with internal departments for accounting related work
Eligibility Criteria:
• Education: B.Com / BAF / M.Com or any commerce graduate
• Experience: Fresher to 1 year in accounting
• Basic knowledge of accounting principles and MS Excel
• Good attention to detail and willingness to learn
• Only Male Candidates
Working Hours:
Monday to Saturday – 8:00 PM to 5:00 AM
Salary & Benefits:
• Breakfast, Dinner and Snacks provided by the company
• Opportunity to gain experience in the financial services sector