Responsibilities: * Prepare financial reports using Tally & Excel * Ensure accurate bank reconciliations * Manage accounts payable/receivable process * Collaborate with finance team on budget planning Provident fund Health insurance
Responsibilities: * Maintain accurate financial records using Tally & GST software * Manage accounts payable/receivable, bank reconciliations, voucher entries * Prepare monthly financial reports with cash vouchers Health insurance Annual bonus Provident fund