1.0 - 8.0 years
0.0 - 8.0 Lacs P.A.
Chennai
Posted:-1 days ago| Platform:
Work from Office
Full Time
Responsibilities: Maintaining Financial Records: Ensuring all transactions are accurately recorded and updated in the general ledger. Reconciliations: Performing monthly reconciliations of various accounts, including bank, accounts payable, and accounts receivable. Financial Reporting: Preparing and reviewing financial statements, reports, and reconciliations to support month-end and year-end close activities. Journal Entries: Preparing and posting accurate journal entries. Compliance: Ensuring adherence to accounting policies, regulations, and internal controls. Audit Support: Collaborating with auditors and providing necessary documentation and explanations. Process Improvement: Identifying and implementing process improvements and automation. Cross-Functional Collaboration: Working with other finance teams and departments to ensure data accuracy and smooth operations. System Support: Working with IT teams to resolve system-related issues during month-end and year-end processes.
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