Accurately entering financial transactions and maintaining up-to-date records.
Financial Reporting:
Assisting in the preparation of financial statements, reports, and budgets.
Accounts Payable and Receivable:
Managing accounts payable and receivable, including issuing invoices and processing payments.
Reconciliations:
Performing bank reconciliations and other reconciliations to ensure accuracy.
Month-End and Year-End Close:
Assisting with the month-end and year-end close processes.
Audits:
Supporting senior staff with audits and ensuring compliance with accounting standards.
Payroll:
Assisting with payroll processing.
Job Type: Full-time
Pay: Up to ?28,000.00 per month
Application Question(s):
How many years of experience do you have?
Do you have an experience in GST, TDS, Bank Reconciliation?
Do you have an experience in Construction and Manufacturing?
What's your current salary?
Work Location: In person
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