Maintain accurate and organized financial records, including general ledger accounts, and document financial transactions.
Assisting in preparing financial statements, such as balance sheets and profit and loss statements, and report financial information to management.
Ensure compliance with tax laws by computing taxes owed and preparing tax returns.
Manage the processing of vendor invoices and monitor client payments.
Ensure adherence to financial regulations, internal controls and tax laws, and assist with internal and external audits.
Prepare and analyze financial statements in compliance with accounting standards.
Coordinate with internal and external auditors to ensure compliance and accuracy.
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