supervision of the Finance Coordinator is responsible of handling all tasks of accounting in Ukraine, for administrative... system BAF promptly; In collaboration with the Finance Coordinator draw up the pay slips, present the monthly to the Country...
new trends, new skills, and new expertise. As we continue to grow, we are looking for an Accounting & Finance Manager... accounting and oversee daily accounting and finance activities for the Ukrainian office Develop and implement systems...
an assessment methodology for obtaining the AEO status for the Ministry of Finance of Ukraine and supported the first AEO Company... the broad knowledge of the customs legislation. Requirements: Degree in law, customs, tax, finance or economics...
Sebi's advisory asks registered intermediaries to verify identities with social media platforms before publishing advertisements to curb fake testimonials and misleading advice. Continue Reading »
Silver has emerged as the top-performing asset of the year, surging 18.97% internationally and 15.20% domestically. Factors like monetary easing, a weakening dollar, and industrial demand for solar and electronics are driving this growth, with expectations for continued strength in 2025. Continue Reading »
Gold prices reached a record high of USD 3,128.06 per ounce amid tariff concerns and economic uncertainty. Investor sentiment is shifting towards safe-haven assets like gold due to fears of a recession and anticipated Federal Reserve rate cuts. Continue Reading »
Small and Medium Enterprises (SME) Initial public offerings (IPOs) have gained much traction in recent times. Many such small IPOs were subscribed in multiples of hundreds over the shares that were on offer. Continue Reading »
Goldman Sachs Group Inc. strategists cut their S&P 500 target for a second time this month, citing a higher recession risk and tariff-related uncertainty. Continue Reading »
Nifty 50 index peaked at 26,277 in FY25 before experiencing a significant decline. Analysts predict it will recover to between 26,000-26,500 by FY26, fueled by appealing valuations and returning foreign investments amid easing inflation. Continue Reading »
Foreign portfolio investors showed unpredictability in Indian equities in 2025, with significant outflows in early months followed by buying in March. Despite a 6% recovery in the Nifty, concerns over global trade tensions and tariff policies keep market sentiment fragile. Continue Reading »
Pankaj Pandey from ICICI Securities anticipates a recovery in India Inc.'s earnings by FY26. He notes that market valuations have improved, providing long-term investment opportunities. Pandey highlights top stock picks in the IT, defence, and banking sectors amidst a volatile market. Continue Reading »