Maintain and update accurate financial records and accounts in Tally.
Prepare Profit & Loss Account, Balance Sheet, and other financial statements.
Perform monthly and periodic bank reconciliations.
Ensure all financial transactions are correctly recorded and documented.
Handle monthly closing activities and ensure timely reporting.
Prepare financial reports and summaries for management review.
Analyze financial data and provide insights for decision-making.
Maintain proper documentation and compliance with accounting standards.
Support internal and external audits when required.
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