17 Sep
|
Sharekhan
|
Navi Mumbai
17 Sep
Sharekhan
Navi Mumbai
Role & responsibilities
- Daily Bank Reconciliation and handling collection related queries
- Monitoring unexplained credits/debits in pending bank reconciliation
- Updating daily bank payments, Bank Receipts
- Reconciliation of Razorpay collections
- Other daily accounting work
- Preparation of Dashboard on daily basis with all group companies.
- Timely reporting of all periodical MIS with due accuracy, avoid penalty and ensure timely compliance.
📌 Walk-in || Executive Accounting Operations (Navi Mumbai)
🏢 Sharekhan
📍 Navi Mumbai