Job Description
The position requires handling disbursement and collection reconciliations accurately and timely. Responsibilities include preparing financial statements per Ind AS, applying knowledge of Ind AS 109 for reporting and provisioning, submitting RBI returns such as DNBS 04A, DNBS 04B, and DNBS-02, preparing Asset Liability Management (ALM) and analytics, analyzing financial ratios, supporting management reporting, and assisting in statutory and internal audits with reconciliations and schedules.