Posted:12 hours ago|
Platform:
On-site
Full Time
- Process daily financial transactions (payments, receipts, etc.). - Maintain and update financial records. - Scrutinize bank transactions and reconcile daily balances. - Process journal entries with supporting documentation. - Review and audit daily income and expense records. Weekly Tasks - Review and process GST working entries. - Conduct weekly bank reconciliation. - Analyze financial transactions and prepare journal entries. - Coordinate with the CA Team for audit requirements or clarifications - Prepare GST return filings and reconciliations. - Perform month-end closing processes and prepare financial summaries. - Conduct internal audits for income, liabilities, and account balances. - Maintain and update the structure of financial suites as per needs. - Prepare detailed reports for management and auditors. - Maintain Minutes Books & other MCA/ IRDAI compliances - Deliver quarterly financial performance reports. - Ensure compliance with IRDAI regulations and statutory reporting. - Assist in external audits and resolve queries. - Review and update financial security protocols. - Review GRNI and other control accounts for balance clearance and accuracy Job Type: Full-time Pay: ₹11,000.00 - ₹22,000.00 per month Schedule: Day shift Work Location: In person
Talencia Integrated solutions
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