Posted:15 hours ago| Platform: Apna logo

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On-site

Job Type

Full Time

Job Description

Roles & Responsibilities - 1. Maintain accurate records of financial transactions in compliance with accounting principles. 2. Handle day-to-day accounting operations, including journal entries, bank reconciliations, and ledger maintenance. 3. Prepare and finalize monthly/quarterly financial statements and MIS reports. 4. Monitor accounts receivable/payable and coordinate with relevant teams for timely settlements. 5. Assist in preparing GST returns, TDS filings, and other statutory compliances. 6. Collaborate with auditors during audits and provide necessary documentation and explanations. 7. Track brokerage income, commissions, and reconciliation with insurance company statements. 8. Analyses financial data using Excel (VLOOKUP, pivot tables, formulas, etc.) for reporting and forecasting. 9. Maintain internal controls and ensure compliance with company policies and regulatory requirements. 

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