to join our finance team. The role primarily involves
Bank Reconciliation (BRS)
,
TDS reconciliation
,
accounts payable/receivable reconciliation
, and efficient handling of
financial data entry and retrieval
. The ideal candidate should be accurate, organized, and proficient in accounting tools.
Key Responsibilities:
Perform daily and monthly
Bank Reconciliation Statements (BRS)
Handle
TDS reconciliation
and ensure compliance with statutory returns
Reconcile
accounts payable and receivable
regularly
Enter and retrieve financial data from accounting systems
Maintain ledgers and ensure timely updating of records
Assist in preparing reports for audits and internal reviews
Coordinate with vendors/customers for resolving account-related queries
Maintain proper filing of vouchers, invoices, and reconciliation records
Requirements:
Masters or Bachelor's degree in Commerce, Accounting, or Finance
1-3 years of accounting experience with focus on reconciliation
Proficiency in
Excel / accounting ERP software
Working knowledge of
TDS, GST
, and related compliance
Strong attention to detail and organizational skills
Good communication and follow-up abilities
Job Type: Full-time
Pay: ?13,000.00 - ?17,000.00 per month
Benefits:
Health insurance
Provident Fund
Work Location: In person
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