1 To record all the transactions accurately and promptly and keep the books of accounts updated on day to day basis 2 Reconciling of General Ledger Accounts Payable and Accounts Receivable on a regular interval and reporting the discrepancies if any 3 Carrying out the month - end and year-end accounting process accurately and efficiently with in the given timeline 4 Supporting Senior Managers in various tax filing and payments 5 Reconciliation of Bank Accounts on daily basis 6 Liaison with internal and statutory auditors 7 Maintenance of registers for statutory fixed assets etc as needed 8 Generating MIS reports for Senior Mangers as and when needed Job Types Full-time Permanent Pay Up to 21 337 32 per month Perks Health insurance Schedule Day shift