?350000- ?450000 CTC per annum (based on interview performance)
Responsibilities:
Manage day to day accounting transactions.
Timely processing of vendor bills, Statutory dues, utility bills payments .
Day to Day Bank Reconciliation
Petty Cash Management
Communication with vendors on their queriers , non-filing of GST Returns etc.
Vendor account reconciliation.
Co-ordinating with Auditors for audit queries.
Preparation of Audit schedules and other required reports.
Maintenance of accounting records.
Apply at:
manoj.salunke@gansons.com
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