Reconciliation jobs in meerut India
6 reconciliation jobs found in meerut: showing 1 - 6
Manager - Finance - Rail & Inland Terminals - Modinagar
Company: P&O Ferries |
billing. receipts tagging and revenue reconciliation. Check and control revenue leakages and customer ledger reconciliationLocation: Meerut, Uttar Pradesh, India
| Salary: unspecified | Date posted: 30 Sep 2026
C&s:currency Chest Operations
Company: Axis Bank |
vehicles� as per the RBI guidelines � Reconciliation of Chest cash balance at the EOD. � Submission of MISLocation: Meerut, Uttar Pradesh, India
| Salary: unspecified | Date posted: 30 Sep 2026
Elite Banker-inbound_branch Banking-service_meerut
Company: Kotak Securities |
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 reconciliationLocation: Meerut, Uttar Pradesh, India
| Salary: unspecified | Date posted: 29 Sep 2026
Elite Banker-inbound_branch Banking-service_meerut
Company: Kotak Mahindra Bank |
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 reconciliationLocation: Meerut, Uttar Pradesh, India
| Salary: unspecified | Date posted: 29 Sep 2026
Elite Banker-inbound-branch Banking-service
Company: Kotak Securities |
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 reconciliationLocation: Meerut, Uttar Pradesh, India
| Salary: unspecified | Date posted: 28 Sep 2026
Elite Banker-inbound-branch Banking-service
Company: Kotak Mahindra Bank |
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