Posted:2 months ago| Platform:
Work from Office
Full Time
Key Responsibilities: Independently manage accounting operations. Maintain accounts, ledgers, and financial records. Perform bank reconciliations, TDS & GST filings, and vendor reconciliations. Process invoices, expenses, claims, and vendor updates. Conduct ledger reconciliation, error rectification, and reporting. Extract, analyze, and consolidate financial data from Tally to Excel. Prepare financial reports, including P&L statements and balance sheets. Ensure accuracy and integrity of financial data. Required Skills & Qualifications: 3+ years of experience in reporting & financial data management. Proficiency in Tally, ERP systems and Advanced Excel. Strong analytical, problem-solving, and data management skills. Bachelors degree in Commerce, Finance, or related field preferred. Preferred Skills: Expertise in Excel functions (Pivot Tables, VLOOKUP, HLOOKUP, Macros). Hands-on experience in reconciliation and variance analysis. Strong understanding of financial reporting structures.
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