- Manage cash counter related activities like cash receipt, cash payment, revenue booking etc.
Ensure payment handling & cash handover from pharmacy every day, manage counter closure and carry out formalities for bank deposit.
Maintain and reconcile with online bank transfers by patients including swipe transactions, on daily basis.
Processing patient refunds including medicine refunds. Arranging for patient bank details and other KYC documents for bank refunds.
Maintaining ledgers, petty cash expenses, and basic bookkeeping.
Providing various reports like Daily Cash Report, Discount Report, etc. to the Management on Daily Basis.
Work closely with Accounts Managers on day-to-day accounting processes.
Ensure all internal controls placed by Management over centres are effectively implemented as per SOP
PREFERRED WORK EXPERIENCE -1-2 years of relevant experience in the advent field - Finance / Accounts
QUALIFICATION Graduate - B.Com / M.com
Interested candidates to inbox their resumes at shefali.sacheti@indiraivf.in or WhatsApp on 7042232582
Job Type: Full-time
Pay: ₹20,000.00 - ₹30,000.00 per month
Benefits:
• Health insurance
• Provident Fund
Schedule:
• Morning shift
Education:
• Bachelor's (Preferred)
Experience:
• Taxation: 1 year (Preferred)
• total work: 2 years (Preferred)
Language:
• English (Preferred)
License/Certification:
• Tally (Preferred)
Work Location: In person
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