Posted:1 hour ago| Platform:
Work from Office
Full Time
Preparing financial statements: This includes balance sheets, income statements, and cash flow statements. Maintaining general ledger accounts: Ensuring accurate and organized recording of all financial transactions. Reconciling bank statements: Checking bank statements against company records to identify and resolve discrepancies. Tracking and managing accounts receivable and payable: Overseeing payments to and from customers and suppliers. Managing payroll: Calculating and processing employee wages and salaries. Processing payments and disbursements: Overseeing the payment of invoices and other obligations. Managing cash flow: Monitoring and controlling cash flow to ensure sufficient funds are available for operations. Good Knowledge In Account Field. Candidate must have their own two-wheeler.
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