Posted:1 day ago|
Platform:
On-site
Full Time
Maintain accurate books of accounts (daily entries, ledgers, journals)
Manage client fee collections, receipts, and invoicing for immigration services
Track payments for visa applications, consultation fees, and government charges
Handle GST compliance, returns, and reconciliations (if applicable)
Prepare monthly, quarterly, and annual financial reports
Monitor cash flow, expenses, and operational costs
Reconcile bank statements and payment gateway transactions
Maintain records of refunds, cancellations, and chargebacks
Process salaries, incentives, and commissions for staff and counsellors
Coordinate with auditors, tax consultants, and regulatory authorities
Ensure compliance with company policies and financial regulations
Manage vendor payments (marketing agencies, portals, travel partners)
Maintain proper documentation for client agreements and invoices
Support management in budgeting and financial planning
VSC INTERNATIONAL PRIVATE LIMITED
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5e-05 - 8e-05 Lacs P.A.
5e-05 - 8e-05 Lacs P.A.