Posted:16 hours ago| Platform:
On-site
Full Time
DUTIES AND RESPONSIBILITIES Perform daily reconciliation of bank statements with internal financial records, identifying and resolving discrepancies promptly. Verify and allocate daily financial transactions, ensuring accurate posting to the general ledger. Ensure all reconciliation activities comply with company policies and relevant financial regulations. Maintain organized and accurate financial records Identify opportunities to streamline and automate reconciliation processes to enhance efficiency and accuracy. Assist in preparing monthly and quarterly reports. Collaborate with other functional departments to ensure accurate and timely financial data. Assist in preparing standard operating procedures. MINIMUM EXPERIENCE REQUIREMENTS Minimum 2 - 4 years of work experience in accounting Job Types: Full-time, Permanent Pay: ₹500,000.00 - ₹700,000.00 per year Benefits: Cell phone reimbursement Health insurance Provident Fund Schedule: Day shift Supplemental Pay: Performance bonus Yearly bonus Work Location: In person
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