Handling full set of accounts and perform month end closing in a timely manner. Prepare bank reconciliation and monitor daily bank balances. Prepare monthly management reports and other accounts related matters. Assist in audit and tax preparation. Liaise with external parties on auditing, tax, secretarial matters, bankers, suppliers & etc. Maintain journal entries, analyses and inter-company accounts. Effectively and efficiently to resolve problem/matters internally and externally to ensure the operation runs smoothly. Ensure proper maintenance of documentation and filing to support all accounting entries. Performing day to day accounting operations. Any other tasks as and when assigned by superior from time to time.
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