Job Summary:
Perform daily bank reconciliations, ensure accurate financial records, and assist in maintaining a robust accounting system.
*Key Responsibilities:/
1. Bank Reconciliations:
- Reconcile bank statements with company records.
- Identify and resolve discrepancies.
- Verify transactions and balances.
- Check pay-in and pay-out records of our clients and maintain without any error
2. Accounting Operations:
- Process journal entries and account adjustments.
- Maintain general ledger accounts.
- Assist in month-end closing.
3. Financial Analysis:
- Analyze financial data for trends and anomalies.
- Prepare basic financial reports.
4. Compliance:
- Adhere to accounting standards and regulations.
- Ensure internal control procedures.
5. Team Support:
- Assist senior accountants with financial tasks.
- Provide backup support for other accounting functions.
*Requirements:/
1. Bachelor's degree in Accounting/Finance.
2. 1-3 years of accounting experience.
3. Knowledge of accounting software
4. Proficient in Microsoft Excel.
5. Strong analytical and problem-solving skills
Job Type: Full-time
Pay: ?12,000.00 - ?15,000.00 per month
Benefits:
Cell phone reimbursement
Health insurance
Provident Fund
Experience:
Accounting: 1 year (Required)
Work Location: In person
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