- Maintain day-to-day books of accounts in accordance with accounting standards.
- Record accounting entries accurately in ERP/Tally.
- Manage journal entries, ledgers, and general accounting.
- Perform monthly and yearly book closure activities.
Bank & Ledger Reconciliation
- Prepare Bank Reconciliation Statements (BRS).
- Reconcile customer, vendor, and inter-company accounts.
- Resolve discrepancies in ledger balances.
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Pay: ₹10,000.00 - ₹22,000.00 per month
Advantages:
- Flexible schedule
- Health insurance
- Leave encashment
- Paid sick time
- Provident Fund