-Handle daily accounting in Tally, including entries, reconciliations -GST filings, vendor payments, MIS & cash flow reports -Coordinate with teams & auditors for month-end closure -Audit queries, ensure timely financial compliance -Banking knowledge Required Candidate profile -Tally -Excel -Vendor Payment Experience -Banking Experience
-Handle daily accounting in Tally, including entries, reconciliations, GST filings, vendor payments, and banking. -Prepare MIS and cash flow reports -Coordinate with auditors for month-end closure and compliance. -Manage and mentor junior staff
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