Prepare and reconcile balance sheet accounts on a monthly basis.
Review and analyze account balances and resolve discrepancies.
Support month-end, quarter-end, and year-end closing activities.
Ensure compliance with accounting policies, controls, and statutory requirements.
Coordinate with internal stakeholders and auditors for financial reviews.
Prepare supporting schedules and financial reports.
📌 Balance Sheet & Mis Pune (India)
🏢 JBM Group
📍 India
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