Maintain books of accounts including journal entries, ledgers, and reconciliations.
Handle accounts payable and receivable functions--vendor invoices, payments, receipts, and collections.
Prepare bank reconciliation statements
Assist in the preparation of financial statements and monthly/quarterly reports.
Support statutory filings such as GST, TDS, and Income Tax returns.
Coordinate with internal departments and external auditors during audits.
Manage petty cash transactions and ensure accurate expense tracking.
Support budgeting and forecasting processes.
Job Type: Full-time
Pay: ?20,000.00 - ?23,000.00 per month
Benefits:
Provident Fund
Application Question(s):
Your Current Salary?
Your Salary Expectations?
Your Notice period?
Work Location: In person
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