20 Sep
|
LAXMI INDIA FINANCE
|
Jaipur
20 Sep
LAXMI INDIA FINANCE
Jaipur
Roles & Responsibilities
- Handle NACH mandate processing and related documentation.
- Perform daily bank reconciliation and resolve reconciliation issues.
- Post bank-related entries and accounting transactions in the accounting system.
- Monitor bank receipts, payments, and fund transfers.
- Coordinate with banks for transaction-related queries and issue resolution.
- Maintain accurate financial records and supporting documents.
- Prepare MIS reports related to banking and reconciliations.
📌 Account Executive (Jaipur)
🏢 LAXMI INDIA FINANCE
📍 Jaipur