Posted:None|
Platform:
Work from Office
Full Time
• Handle daily bank transactions and cash flow
• Reconcile bank accounts and resolve differences
• Ensure customer payments are received on time
• Support month-end and quarter-end financial closing
• Prepare account statements and reports
• Coordinate with banks, vendors, and internal teams
• Help with customer billing and sales reconciliation
• Support audits and ensure proper financial records
• Monitor company funds to meet daily needs
• Do basic tax-related tasks like TDS and GST tracking
• Use Excel and banking tools for reports and analysis
• Keep records for fixed deposits and interest tracking
Mynd
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