Responsibilities: · Maintain accurate and up to date financial records. · Handle TDS and TCS compliance. · Perform bank reconciliations to ensure accuracy of financial transactions. · Reconcile vendor ledgers and accounts payable. · Assist with basic daily tasks. ·…
Key Responsibilities: Financial Reporting & Analysis: Prepare and analyze monthly, quarterly, and annual financial statements; perform budget vs. actual variance analysis; provide financial insights to management. General Ledger & Reconciliation: Manage journal entries, oversee bank reconciliations, reconcile sub ledgers to…
Review, fact check and process invoices Index invoices and file them in the appropriate places Complete day to day work and report to senior Generate proper reports and take follow up for outstanding Maintain accurate and thorough invoices records Accounting…