Accounts Payable Receivable Managing payments to vendors and tracking money owed to the company including reconciling accounts and following up on overdue payments Bank and Cash Transactions Processing bank transfers RTGS NEFT handling petty cash and managing other cash transactions Reconciliations Reconciling bank statements general ledger accounts and subsidiary ledgers Reporting Assisting with the preparation of financial reports including trial balances and basic financial statements GST Compliance Depending on the company may be involved in filing GST returns GSTR-1 GSTR-3B etc Valuable Written and Spoken Communication in English Job Type Full-time Pay Up to 35 000 00 per month Benefits Provident Fund Application Question s Do you do Accounts Upto finalization Education Bachelor s Preferred Experience Corporate accounting 5 years Required Language English Required Work Location In person Application Deadline 20 08 2025