India jobs / Reconciliation / Madhya Pradesh

Reconciliation jobs in Madhya Pradesh

Explore 14 current openings. Compare roles, companies, locations, and work options, then open any job to view the full details.

Current openings

Showing 20 jobs
  1. Treasury Reconciliation Officer

    MUFG Pension & Market Services

    Treasury Reconciliation Officer at MUFG Pension & Market Services focuses on cash & stock reconciliation across APAC and EMEA, ensuring regulatory compliance and accurate reporting. The role handles daily …

    IndiaFull-time
    Active
  2. SPARK Data Reconciliation Engineer

    Photon Group

    SPARK Data Reconciliation Engineer role at Photon Group in Chennai focuses on building and maintaining large-scale data pipelines using Spark, Hadoop, and Kafka. Candidates should bring 7+ years of experience in Java or …

    IndiaOn-siteFull-time
    Active
  3. Data Admin and Reconciliation Specialist

    American Express Global Business Travel

    Data Admin and Reconciliation Specialist on the Meeting & Events team at American Express Global Business Travel. The role manages post‑event billing reconciliation, vendor coordination, and data administration across …

    IndiaRemoteFull-time
    Active
  4. Senior Finance Executive

    Sleek

    Finance team at Sleek drives monthly closing processes and accounting reconciliations to ensure audit‑ready financial data across multiple jurisdictions. The Senior Finance Executive leads month‑end closing, builds …

    IndiaRemote
    Active
  5. Data Admin and Reconciliation Specialist

    American Express Global Business Travel

    Meeting & Events team at American Express Global Business Travel builds seamless post‑event billing and vendor coordination for global markets. The role manages data entry, financial reconciliations, and cross‑platform …

    IndiaRemoteFull-time
    Active
  6. Senior Executive

    EXL

    Finance & Accounting team at EXL ensures accurate financial reporting through detailed balance sheet reconciliations. The Senior Executive performs regular and ad‑hoc reconciliations of cash, receivables, payables and …

    IndiaHybridFull-time
    Active
  7. Executive

    EXL

    Finance & Accounting team at EXL ensures the accuracy and integrity of balance sheet accounts through detailed reconciliations. The role performs regular and ad‑hoc reconciliations of cash, receivables, payables and …

    IndiaHybridFull-time
    Active
  8. Assistant Manager

    EXL

    Finance & Accounting team at EXL handles record-to-report processes, ensuring accurate financial statements and compliance. The Assistant Manager performs daily to monthly bank reconciliations, prepares balance sheet …

    IndiaOn-siteFull-time
    Active
  9. Assistant Manager

    EXL

    Finance Operations team at EXL handles end‑to‑end record‑to‑report processes, ensuring accurate journal entries, balance‑sheet reconciliations and month‑end close. The Assistant Manager prepares and uploads journal …

    IndiaOn-siteFull-time
    Active
  10. Property Management Trust Accountant

    ProfitCoach

    ProfitCoach’s Trust Accounting Specialist team builds seamless trust accounting for property management clients, ensuring accurate daily reconciliations and proactive client communication. The role manages …

    IndiaRemoteFull-time
    Active
  11. Lead Assistant Manager

    EXL

    Finance team at EXL focuses on comprehensive record-to-report processes, ensuring accurate balance sheet reconciliations and timely month‑end journal postings. The Lead Assistant Manager oversees intercompany …

    IndiaOn-siteFull-time
    Active
  12. Senior Accountant, RTR

    PVH

    Finance & Accounting team at PVH focuses on delivering high-quality accounting support across accruals, provisions, reconciliations, and financial reporting. The Senior Accountant prepares statutory GAAP statements, …

    IndiaHybridFull-time
    Active
  13. Digital Client Service - Data Analytics & Business Intelligence

    JPMorgan Chase Bank

    A seasoned professional will lead data analytics and reconciliation efforts, driving automation, governance, and audit excellence while collaborating with product owners and stakeholders to deliver actionable insights.

    IndiaOn-siteFull-time
    Active
  14. Assistant Manager

    EXL

    Finance Operations team at EXL handles record-to-report processes. The Assistant Manager performs balance sheet reconciliations, month‑end journal processing, and ensures compliance with SOPs and audit governance. Based …

    IndiaOn-siteFull-time
    Active
  15. Assistant Manager

    EXL

    Finance Operations at EXL manages Accounts Receivable processes, cash applications and bank reconciliations. The Assistant Manager leads the AR team, oversees reporting timelines, collaborates with cross‑functional …

    IndiaHybridFull-time
    Active
  16. Accounts Coordinator

    Teamified

    Teamified partners with an Australian automotive client to manage customer accounts and payments. The role handles payment processing, account reconciliation, and resolves billing issues while providing top‑tier …

    IndiaRemoteFull-time
    Active
  17. Epm Consultant, Arcs

    Oracle

    Enterprise Performance Management (EPM) team at Oracle builds and supports the Account Reconciliation solution (ARCS). The consultant designs, configures, integrates data and tests the solution, collaborates with …

    IndiaOn-siteFull-time
    Active
  18. Executive, Billing

    Shalby Limited

    Billing Department at Shalby Limited manages cash transactions and patient billing processes. The Executive ensures accurate billing, cash collection, and reconciliation across inpatient and outpatient services, …

    Indore,IndiaOn-siteFull-time
    Active
  19. Intermediate Accountant

    jobgether

    Accounting Team responsible for delivering accurate financial reporting and tax compliance for diverse clients. The Intermediate Accountant will manage reconciliations, bookkeeping, payroll, and regulatory filings while …

    IndiaRemoteFull-time
    Active
  20. Team Member - CAD

    Adani Group

    Responsible for overall Revenue Invoicing of Port Operation, Co-ordination with Marketing and Operation team, updation of payment details, handling of customer queries, data reconciliation, MIS and other reports, IFC, …

    IndiaOn-siteFull-time
    Active