Manage daily financial operations, including accounts payable/receivable, bank reconciliations, and journal entries.
Prepare and analyze financial reports such as profit & loss statements, balance sheets, and cash flow statements.
Assist in budgeting and forecasting; monitor performance against projections.
Ensure compliance with financial policies, accounting standards, and regulatory requirements.
Conduct financial analysis to identify trends, assess performance, and support decision-making.
Support tax planning, preparation, and compliance with relevant tax laws.
Monitor and manage cash flow to maintain adequate liquidity.
Implement and maintain strong internal control systems to protect assets and ensure accuracy.
Collaborate with internal departments, auditors, banks, and financial institutions.
Contribute to the development and execution of financial strategies aligned with organizational goals.
Job Types: Full-time, Permanent
Pay: From ?25,000.00 per month
Schedule:
Day shift
Fixed shift
Work Location: In person
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