Maintain all records like Vouchers, Receipts, Bills and PaymentsConduct Bank ReconciliationPrepare monthly GST workingHandle day to day banking works like cheque issue for clearing cash deposit, etc.Assist in day to day accounts and finance related reconciliationsJob Types: Regular / Permanent.Benefits:Provide…
Maintain all records like Vouchers, Receipts, Bills and PaymentsConduct Bank ReconciliationPrepare monthly GST workingHandle day to day banking works like cheque issue for clearing cash deposit, etc.Assist in day to day accounts and finance related reconciliationsJob Types: Regular / PermanentBenefits:Provide…
Experience in Tally Operations :2. Bank Reconciliation Activities.3. Preparing Balance Sheet.4. Maintaining Records in Excel Sheet.5. Maintain Purchase & Sales Vouchers , Invoices and other related documents.Immediate Wanted GST Filling Staffs .Preparation of all Financial Reports, including Profit and Loss…