Posted:5 hours ago|
Platform:
Work from Office
Full Time
1) To record all the transactions accurately and promptly and keep the books of accounts updated on day to day basis
2) Reconciling of General Ledger, Accounts Payable and Accounts Receivable on a regular interval and reporting the discrepancies, if any
3) Carrying out the month end and year-end accounting process accurately and efficiently with in the given timeline
4) Supporting Senior Managers in various tax filing and payments.
5) Reconciliation of Bank Accounts on daily basis
6) Liaison with internal and statutory auditors
7) Maintenance of registers for statutory, fixed assets etc. as needed
8) Generating MIS reports for Senior Mangers as and when needed
Fernandez Foundation
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