Job Profile:1. Handling of Day-to-day Banking Transactions
2. Passing of Bank Transactions and Vouchers entries in Tally
3. Preparation of Bank Reconciliation Statement
4. Preparation of Cash and Fund Flow statements
5. Interacting with Bankers for Renewal of limits
6. Preparation of Monthly, Quarterly, Half Yearly reports as required by Banks
7. Reconciliation of Inter Branch transactions
8. Initiating and liasioning with Bankers for Issue of Bank Guarantees
9. Accounting of Investment in Shares/Bonds
10. Calculation of Gain or loss of Shares
11. Preparation of daily and monthly MIS reports for Management
12. Handling of Statutory and Transaction Audits
13. Passing of Month-end Provision entries.
14. Hands on experience on Tally
15. Preparation of Vehicle loan Documents for availing Vehicle LoanJob Type: Full-timeSalary: ?1,055,895.23 - ?2,012,549.63 per yearBenefits:
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