Senior Executive - Accounts

3 - 7 years

0 Lacs

Posted:1 day ago| Platform: Shine logo

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Work Mode

On-site

Job Type

Full Time

Job Description

Role Overview: You will be responsible for maintaining accurate general ledger accounts and ensuring proper documentation and accounting for all financial transactions. Additionally, you will manage bank and cash transactions, prepare financial reports, participate in the month-end close process, ensure tax compliance, provide support during audits, liaise with banks for financial instruments, and contribute to process improvement activities within the finance department. Key Responsibilities: - Maintain accurate general ledger accounts and ensure proper documentation for financial transactions - Perform daily verification of cash and bank vouchers - Manage bank books and conduct daily bank statement reconciliations - Prepare monthly, quarterly, and annual financial performance reports and financial statements - Participate in the month-end close process by posting journal entries and performing account reconciliations - Ensure adherence to tax laws by preparing and submitting necessary tax filings - Assist with internal and external audits by providing required documentation and information - Liaise with banks for financial instruments such as bank guarantees and letters of credit - Contribute to driving process improvements and standardization activities within the finance department Qualifications Required: - Proven experience in financial record-keeping and accounting - Strong knowledge of tax laws and compliance requirements - Excellent communication and coordination skills - Ability to work effectively in a team environment and drive process improvements - Bachelor's degree in finance, accounting, or related field preferred Additional Details: The company offers a full-time job type with benefits including a flexible schedule, health insurance, and paid time off. The work location is in person. Role Overview: You will be responsible for maintaining accurate general ledger accounts and ensuring proper documentation and accounting for all financial transactions. Additionally, you will manage bank and cash transactions, prepare financial reports, participate in the month-end close process, ensure tax compliance, provide support during audits, liaise with banks for financial instruments, and contribute to process improvement activities within the finance department. Key Responsibilities: - Maintain accurate general ledger accounts and ensure proper documentation for financial transactions - Perform daily verification of cash and bank vouchers - Manage bank books and conduct daily bank statement reconciliations - Prepare monthly, quarterly, and annual financial performance reports and financial statements - Participate in the month-end close process by posting journal entries and performing account reconciliations - Ensure adherence to tax laws by preparing and submitting necessary tax filings - Assist with internal and external audits by providing required documentation and information - Liaise with banks for financial instruments such as bank guarantees and letters of credit - Contribute to driving process improvements and standardization activities within the finance department Qualifications Required: - Proven experience in financial record-keeping and accounting - Strong knowledge of tax laws and compliance requirements - Excellent communication and coordination skills - Ability to work effectively in a team environment and drive process improvements - Bachelor's degree in finance, accounting, or related field preferred Additional Details: The company offers a full-time job type with benefits including a flexible schedule, health insurance, and paid time off. The work location is in person.

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