The objective of this role is to safeguard the assets of the distributor, specifically Cash and Bank, by ensuring that all financial transactions are accurately recorded and reconciled. The role involves maintaining proper accounting practices, ensuring that all cash and bank transactions are documented and aligned with company policies. Additionally, it requires making timely and authorized payments, ensuring the financial integrity and operational efficiency of the distributor's business. The ultimate goal is to protect financial assets, maintain accurate financial records, and ensure smooth financial operations through effective accounting and reconciliation processes.
Pay: ₹13,000.00 - ₹18,000.00 per month
Perks:
- Provident Fund
Work Location: In person
📌 Branch In charge (Aruppukkottai)
🏢 Solaimalai group of
📍 Aruppukkottai
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