Roles and Responsibilities
Ensuring weekly reconciliation of all financial and non-financial information based on discussions with partners. CA platform vs. books daily reconciliation
Management of all communication both internal and external on CL and SCF
Transactional Reviewer and approver of all disbursements on a daily basis.
Ensuring all information on the Colending system is current and relevant
Undertake all disbursements in the case of enterprise financing
Perform bi-monthly reconciliation of all enterprise financing balances.
Undertake all disbursements and collections in the case of retail financing.
Educational qualification - B.com 2021/2022 Pass outs
Work Environment details
Job Location Chennai - Work from office only
If interested, Please share your updated CV with the below details to the given mail - vi***********n@vi***********l.com
Name -
Total Yrs. of Experience / Relevant recruitment experience -
CTC -
Notice Period to join -
C.Company working with -
Current Designation -
E.CTC -
Current Location -
Are you ready to work from office - Yes / No
Educational Qualification -
If any other additional Info -

Keyskills: fresher Finance investment banking accounts b.com
We, at Vivriti are growing at an incredible pace. Our NBFC and AIF together have more than INR 4500 Cr of assets under management across enterprise finance and an impeccable track record on asset quality. While we are scaling up, we have been successful to have high-quality talent from diverse b...