Maintain and update financial records, ledgers, and journals.
Prepare receipts, and payments.
Assist in monthly, quarterly, and annual closing activities.
Reconcile bank statements and vendor accounts.
Support in preparation of financial reports and statements.
Ensure compliance with accounting standards and tax regulations.
Assist in audits and provide necessary documentation.
Handle petty cash and expense tracking.
Collaborate with other departments for financial data accuracy.
Job Type: Full-time
Pay: ?240,000.00 - ?310,000.00 per month
Benefits:
Leave encashment
Work Location: In person
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