2 - 6 years

0 Lacs

Posted:1 week ago| Platform: Shine logo

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Work Mode

On-site

Job Type

Full Time

Job Description

As a potential candidate, your role will involve evaluating and reconciling diverse financial operations, inspecting and confirming source documents such as invoices and expense vouchers to ensure commitments are met and posting accurate records. You will also be responsible for filing tax returns, accruing journals, and conducting balance sheet reconciliations. Additionally, your tasks will include organizing accounting records such as registers, ledgers, journals, and individual accounts. You will need to manage journal entries and reconcile statements for month-end efficiently. **Key Responsibilities:** - Evaluate and reconcile diverse financial operations - Inspect and confirm source documents like invoices and expense vouchers - File tax returns - Accrue journals and balance sheet reconciliations - Organize accounting records including registers, ledgers, journals, and individual accounts - Manage journal entries and reconcile statements for month ending **Qualifications Required:** - Bachelor's degree in Accounting or Finance - Relevant work experience in financial operations and reconciliation - Strong attention to detail and accuracy in handling financial documents Please note that this is a full-time position with a day shift schedule. The work location is in person. As a potential candidate, your role will involve evaluating and reconciling diverse financial operations, inspecting and confirming source documents such as invoices and expense vouchers to ensure commitments are met and posting accurate records. You will also be responsible for filing tax returns, accruing journals, and conducting balance sheet reconciliations. Additionally, your tasks will include organizing accounting records such as registers, ledgers, journals, and individual accounts. You will need to manage journal entries and reconcile statements for month-end efficiently. **Key Responsibilities:** - Evaluate and reconcile diverse financial operations - Inspect and confirm source documents like invoices and expense vouchers - File tax returns - Accrue journals and balance sheet reconciliations - Organize accounting records including registers, ledgers, journals, and individual accounts - Manage journal entries and reconcile statements for month ending **Qualifications Required:** - Bachelor's degree in Accounting or Finance - Relevant work experience in financial operations and reconciliation - Strong attention to detail and accuracy in handling financial documents Please note that this is a full-time position with a day shift schedule. The work location is in person.

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