28 Sep
|
Hayat Placement Services
|
Kanpur
28 Sep
Hayat Placement Services
Kanpur
Manage end-to-end Accounts Payable, including vendor invoicing, debit/credit notes, payments, reconciliations.
Execute fortnightly vendor payments & ensure effective vendor coordination.
Ensure compliance with GST & TDS for all financial transactions
Required Candidate profile
Perform daily bank reconciliation &monitor; outstanding balances.
Must have TDS Return filing experience.Perform day-to-day accounting task.
Preparation of Bank Reconciliation.Handle general accounting
📌 Accounts Executive (Kanpur)
🏢 Hayat Placement Services
📍 Kanpur