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Credit Card Jobs in Chennai

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Search Results - Credit Card Jobs in Chennai
TP-Chennai
leadership, and stakeholder management skills.  •  Proficiency in MS Excel, PowerPoint, and reporting tools.  •  Strong analytical and problem-solving abilities. Preferred Qualification  •  sExperience managing secured or unsecured loan collections, credit card...
TP-Chennai
leadership, and stakeholder management skills.  •  Proficiency in MS Excel, PowerPoint, and reporting tools.  •  Strong analytical and problem-solving abilities. Preferred Qualification  •  sExperience managing secured or unsecured loan collections, credit card...
Aceolution-Chennai
credit card, and general ledger reconciliations.  •  Prepare journal entries and assist with month-end and year-end closing activities.  •  Generate financial and payroll reports for management.  •  Monitor invoices, payments, expenses, and outstanding...
Acuity Accounting & Analytics-Chennai
and month-end work completed by junior team members Lead the month-end close process and ensure all deadlines are met Review bank and credit card reconciliations, general ledgers, suspense accounts, accruals, prepayments, payroll liabilities, loans, AR...
Cibersites India-Chennai
ACH, credit card, checks, etc.)  •  Process and reconcile weekly credit card payment runs, ensuring accurate posting and timely application to customer accounts  •  Accurately research and resolve unidentified or unapplied payments, ensuring timely...
foundit.in -
Magic Books-Chennai
and up-to-date records of financial transactions, entries, and adjustments Bank Reconciliation: Reconcile bank statements, credit card statements, and other financial records Document Processing: Prepare and process invoices, receipts, payments...
Ampstek-Chennai
Financial Operations Perform daily and monthly Bank Reconciliation Statements (BRS) across multiple bank accounts and currencies. Reconcile merchant accounts, credit card statements, and inter-company transactions. Prepare journal entries and maintain...
GS Infotech-Chennai
Reconciliation/: To guarantee complete financial alignment, balance daily posted payment batches against bank deposit slips, credit card processing reports, and Electronic Funds Transfer /(EFT/) alerts. Secondary Insurance & Patient Statement Triggers...
clickindia.com -
Vistance Accounting-Chennai
and year-end filings  •  Prepare bank and credit card reconciliation and post month-end adjusting entries properly  •  Support Accounts Receivable function- Prepare and send invoices, apply customer payments/credits, maintain AR aging, support...
Ampstek-Chennai
Operations Perform daily and monthly Bank Reconciliation Statements (BRS) across multiple bank accounts and currencies. Reconcile merchant accounts, credit card statements, and inter-company transactions. Prepare journal entries and maintain the integrity...
Magic Books-Chennai
statements, credit card statements, and other financial records /n Document Processing: Prepare and process invoices, receipts, payments, and other financial documents /n Financial Reporting: Assist in the preparation of financial statements, reports...
GS Infotech-Chennai
payment batches against bank deposit slips, Electronic Funds Transfer /(EFT/) notifications, and credit card processing reports. To automatically initiate the creation of secondary or tertiary insurance claims or the delivery of clean statements...
clickindia.com -
Magic Books-Chennai
accounts payable and accounts receivable /n Record-Keeping: Maintain accurate and up-to-date records of financial transactions, entries, and adjustments /n Bank Reconciliation: Reconcile bank statements, credit card statements, and other financial...
SBI cards-Chennai
Job Description About the company SBI Card is a leading pure-play credit card issuer in India, offering a wide range of credit cards to cater to diverse customer needs. We are constantly innovating to meet the evolving financial needs of our...
foundit.in -
Ampstek-Chennai
accounts, credit card statements, and inter-company transactions. /n  •  Prepare journal entries and maintain the integrity of the General Ledger. /n  •  Assist in month-end and year-end financial closing activities. /n /n GST, VAT & Statutory Tax Compliance...
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