28 Sep
|
SARITHA DAIRY
|
Hyderabad
28 Sep
SARITHA DAIRY
Hyderabad
- Record Transactions: Documenting all daily financial transactions, including accounts payable, accounts receivable, and cash flow.
- Reconcile Accounts: Regularly matching bank statements, invoices, trade purchase orders, and expense sheets to identify and resolve numerical discrepancies.
- Maintain Ledgers: Keeping the general ledger structured, up-to-date, and completely accurate.
📌 Walk-in || Account Executive (Hyderabad)
🏢 SARITHA DAIRY
📍 Hyderabad