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Reconciliation jobs in jammu and kashmir state India

6 reconciliation jobs found in jammu and kashmir state: showing 1 - 6

System Engineer - L2 - Data And Integration
Company: RVS iGlobal |

Location: Gurgaon, Haryana - Jammu, Jammu & Kashmir, India

| Salary: unspecified | Date posted: 08 Sep 2026
that report their own failures, including error handling, alerting and reconciliation checks. Automate recurring manual... processes across finance and operations, including scheduled extracts, reconciliation support and supplier billing
Technical Supervisor
Company: Cadila Pharmaceuticals |

Location: Jammu, Jammu & Kashmir, India

| Salary: unspecified | Date posted: 01 Sep 2026
and ensure that all SAP related entries completed on-line To do the API Calculation & Reconciliation in the Batch records.
Packaging- Officer - Accounts
Company: Uflex |

Location: Jammu, Jammu & Kashmir, India

| Salary: unspecified | Date posted: 20 Aug 2026
. Close Cash Book & Bank Book on daily basis. 7.Monthly Expenses booking, TDS Reconciliation, Inter Unit Reconciliation..., Vendors Reconciliation, Employees Accounts Recompilation. Expenses Detail, Travelling Detail, Scrap Detail, Salary, and Cont
Elite Banker-inbound-branch Banking-service
Company: Kotak Mahindra Bank |

Location: Jammu & Kashmir, India

| Salary: unspecified | Date posted: 22 Jul 2026
Officer as needed. This role also involves non-transactional servicing, reconciliation, and cross-selling of financial... Banker during peak hours or absences. Handle non-transactional servicing tasks such as audit support and reconciliation
Senior Executive
Company: Cadila Pharmaceuticals |

Location: Jammu, Jammu & Kashmir, India

| Salary: unspecified | Date posted: 09 Jul 2026
& Reconciliation in the Batch records.
Branch Service Manager - Ops - Jammu
Company: Aditya Birla Group |

Location: Jammu, Jammu & Kashmir, India

| Salary: unspecified | Date posted: 23 Jun 2026
required. Carry out the banking and reconciliation process of policy cash/Cheque/DD as per guidelines. Generate report for cash... and cheque collection from system and reconciliation with physical instrument Make accurate payment entry & system updation