Job Overview 1. Vouchring & Reconcilisation of Receipt, Payment, DC, Sales , Coupons & Purchase 2. Filling of Documents along with serial wise 3. Bank Related: Cheque & Cash Deposit will be in time, keep data properly and Monthly statement…
Experience In Tally & MS Excel Should Be Able To Maintain Bank Reconciliation Statements Prepare Monthly Financial Statements Knowledge in GST and TDS Settle Costs On Balance Sheets Manage Purchase Invoices Help The Senior Accounts Team Job Type: Full time…