Orion Finvest Private Limited

5 Job openings at Orion Finvest Private Limited
Accounts Manager karampura, delhi-ncr 2 - 31 years INR 3.6 - 6.0 Lacs P.A. On-site Full Time

The candidate in the role of Accounts Manager will need to do the following: Overseeing day-to-day accounting including accounts receivable, payable, cash-in-hand and bank reconciliation. Preparation of financial statements and liasoning with the auditor. Development of internal controls and systems to prevent fraud/errors. Should be able to assist in forecasting and budgeting. Should develop a well rounded team.

Loan Executive bakkarwala, new delhi 0 - 31 years INR 1.2 - 2.64 Lacs P.A. On-site Full Time

Candidate Ko ye Karna Hai: 1) Field par jaa kar area meeting karna hai. 2) Loan Source karna hai. 3) Customer documents collect karna hai. 4) Cash Handling/ payments ensure karna hai

Accountant karampura, delhi-ncr 2 - 31 years INR 2.16 - 3.0 Lacs P.A. On-site Full Time

The candidate is expected to do the following: 1) To operate MIS software and prepare relevant reports in excel. 2) Posting journal and voucher entries. 3) Should be able to handle cash in hand/cash in office transactions. 4) Will be responsible for statutory compliances like TDS, GST and other returns. 5) Should know the basics of a term loan. 6) Should be able to work with auditor to finalize company financials. 7) Visiting Banks and doing bank reconciliation.

Loan Verification Agent nangloi, delhi-ncr 0 - 31 years INR 1.8 - 2.88 Lacs P.A. On-site Full Time

The candidate has to do the following: 1) Work with loan agent to collect documents of the customer. 2) Do onsite visits to client place for verifying details. 3) Help with collections during collection dates. 4) Any other work if needed.

Account Executive (Accounting) nangloi, new delhi 0 - 31 years INR 1.92 - 2.64 Lacs P.A. On-site Full Time

To pass journal entries in tally or other such accounting software. To prepare expense sheets and manage imprest. Work on MIS reports. Working with auditors to prepare financial statements. Manage cash book, day book and other subsidiary books in tally or other accounting software. Performing bank reco. Managing bank relations and deposits. Any other related work.