22 Sep
|
Hayat Placement Services
|
Kanpur
22 Sep
Hayat Placement Services
Kanpur
Manage accounts payable, accounts receivable & bank reconciliation.
Prepare monthly MIS reports on a timely basis.
Handle petty cash transactions & maintain records.
Perform accounting tasks such as journal entries, voucher making and ledger posting.
Required Candidate profile
Matching company bank statements with Tally records.
Maintaining accurate ledger balances.
Recording daily transactions (sales, purchases, receipts, payments) in Tally.
Update and manage stock levels.
📌 Tally Operator (Kanpur)
🏢 Hayat Placement Services
📍 Kanpur