Prepare a voucher & make payment by cheque/NEFT.r r a~ Preparation of outstanding report.r r a~ Passing entries of Salary, Daily income, Debit Note, Overriding brokerage (NEFT) etc.r r a~ Candidate having experience Bank reconciliation, Maintain Petty Cash, Reimbursement, Compliances related to Income Tax such as TDS, Advance tax, Calculation of employee related to IT declaration & TDS deduction, Compliance related to Service Tax, Finalization of books of Accountsr r a~ Make purchase entry on daily basis.r r a~ Preparation of daily Bank balance & Cash flow report.r r a~ Maintaining, Controlling and supervising books of account on daily basis.r r a~ Monthly and annual closing of books.
Education: Any Graduate
Industry: Financial Services/Stockbroking
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