Transaction processing Operations
airtel dth
Thorough knowledge of Banking products
Account reconciliation such as bank,biller
General ledger reconciliation
Supporting the month end process
Identifying reversals, refunds & recoveries via reconciliation process
Processing of actionable transaction in CBS
RBI Reporting (If any)
Accounting entries (Provision & Actual)
Knowledge of NPCI products recon like UPI, IMPS, AEPS, NETC, BBPS, etc will be an added advantage.
Por favor confirme su dirección de correo electrónico: Send Email