1. Acquisition of New Client (NTB) through external individual efforts for Current Account, Savings Account Products of the bank. 2. Customers to be sourced
Accounts Executive (Bookkeeper) For MNC Company in Sector 49 GurgaonQualification:- , M. Com, B. Com, with acumen in analytics / data analysis or
Accounts Executive (Bookkeeper) For MNC Company in HyderabadQualification:- , M. Com, B. Com, with acumen in analytics / data analysis or reports.Experience
Job Openings for 2 Account Executive Jobs with minimum 2 Years Experience in Hyderabad,General Accountant, having Educational qualification of : B.Com, B.Sc,
DESCRIPTION1. Designation: Assistant Acquisition Manager2. This is a permanent job & ON ROLLS.3. This is a sales job and not a branch operations job. Requires
DESCRIPTION1. Designation: Assistant Acquisition Manager2. This is a permanent job & ON ROLLS for kotak bank pvt.ltd3. This is a sales job and not a branch
Job Profile:1. Designation:- Team Leader_ CASA2. This is a permanent job & ON ROLLS of the Bank Ltd.3. This is a sales job and not a branch operations job.
Job Profile:1. Designation:- Team Leader_ CASA2. This is a permanent job & ON ROLLS of the Bank Ltd.3. This is a sales job and not a branch operations job.
The role is to create a team of outstanding sales executives and effectively lead, manageand coach them towards achieving sales targets.Principal Account
Job Profile:1. Designation: Assistant Acquisition Manager2. This is a permanent job & ON ROLLS 3. This is a sales job and not a branch operations job. Requires
The role is to create a team of outstanding sales executives and effectively lead, manageand coach them towards achieving sales targets.Principal Account
The role is to create a team of outstanding sales executives and effectively lead, manageand coach them towards achieving sales targets.Principal Account
Type: Work from Office Location : Bangalore, Hyderabad, Mumbai Notice Period : Immediate to 30 Days Mandatory Skills : Preference from Contingent staffing
Prepare detailed account reconciliations and accurate journal entries posted into the financial systems.Working with spreadsheets, sales and purchase ledgers