Executive Treasury Job Vacancy in VISUAL WEBSITE OPTIMIZER Delhi, Delhi – Latest Jobs in Delhi, Delhi
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Company Name : VISUAL WEBSITE OPTIMIZER
Location : Delhi, Delhi
Position : Executive Treasury
Job Description : Wingify is a ~$25mn ARR SaaS company that makes the market-leading A/B testing and conversion optimization platform VWO.com. We are a 100% bootstrapped and profitable company founded in India, making globally admired technology products in the marketing technology space. With clients in 90+ countries, Wingify has been profitable all its 11 years of existence and is now looking to grow to its next milestone of $50mn revenue (and beyond that to $100mn) over the next few years.
Over the last 11 years, VWO by Wingify has helped create industry standards in A/B testing products and have helped brands grow their website conversions by our suite of products across testing, user behaviour insights, and user engagement. If you have interacted with WikiHow, UbiSoft, TMZ, or Britannica, you have already met some of the customers who trust the VWO platform for their experimentation-led growth. Last year, G2Crowd recognized VWO by Wingify among the 25 best software SaaS companies in India, and in 2017, ET gave us the title of Startup of the year in the bootstrapped champ category.
For more details, please visit:
https://wingify.com/,
https://engineering.wingify.com/ ,
https://vwo.com/platform/ ,
https://vwo.com/ab-testing/ ,
https://vwo.com/blog/ ,
Job Title: Executive – Treasury
To efficiently manage the treasury function require a Treasury Executive, who will be responsible for performing various funds, disbursement, and accounting activities within the Corporate Treasury function. The role is primarily focused on the following duties of a treasury department and includes, but is not limited to:
Job Duties and Responsibilities:
Daily Inward Remittance Tracking
Daily Bank Balance tracking for cash management– Arranging funds for disbursement of payments and identify the surplus amount to invest
Foreign currency conversion and settlement as per cash requirements
Tracking of Outward payments both domestic & international
Responsible for continuous monitoring of bank account activities as required, make calls to the bank directly to clarify or to clarify items on the bank statements in order to reconcile activity or properly code it
Prepare bank accounts and investments reconciliations and ensure timely reconciliation
Ensure monthly closing related to bank account activities, investments, forex and various schedules as required for audit
Co-ordination with banking partners and internal teams – Day to day banking, documents preparation as & when required and other related queries to be handled
Skills and Professional Requirements:
Master’s degree preferably in finance & accounting
Understanding and experience of Treasury Accounting including foreign exchange, liquidity, cash flow and various Financial Instruments
Solid understanding of accounting principles
Good excel and database skills
Appropriate handling of sensitive information
Team player with the ability to communicate and collaborate with multiple parties (internal & external)
Strong in maintaining banking relationships
Pro-active, reliable used to deliver quality on time
Ability to multi-task and manage competing deadlines.
Knowledge of share markets and the different investing tool is an advantage
This post is listed Under  Delhi jobs
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