Assist in the preparation and maintenance of financial records and reports. Enter financial transactions accurately into accounting software (e.g., QuickBooks, Tally, SAP). Support with accounts payable and receivable processes. Assist in bank reconciliations and monthly closing procedures. Help in preparing tax returns and compliance documents. Organize and file invoices, receipts, and other financial documents. Support the senior accountants during audits or financial reviews. Perform administrative duties related to finance as required.
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