Key Responsibilities:
Manage day-to-day accounting entries and maintain accurate financial records
Prepare and present MIS reports for management review
Perform Bank Reconciliation Statements (BRS) regularly
Handle petty cash management and maintain proper documentation
Prepare audit schedules and support internal and external audits
Interact with parents regarding fee-related queries, clarifications, and reconciliations in a skilled manner
Ensure compliance with financial policies and procedures
Assist in budgeting, forecasting, and financial planning activities
Required Skills & Competencies
Robust knowledge of accounting principles and financial reporting
Hands-on experience with MIS preparation and BRS
Experience in audit documentation and schedule preparation
Valuable communication skills to handle parent fee queries effectively
Proficiency in Tally/ERP systems and MS Excel
High level of accuracy, integrity, and attention to detail
Ability to manage multiple tasks and meet deadlines
Educational Qualification
Bachelors /Master degree in commerce/accounting/finance
Additional certifications in accounting or finance will be an advantage