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JOB_REQUIREMENTS

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Ø Record and reconcile daily cash deposits and POS (Point of Sale) transactions from retail stores.

Ø Follow up with store teams and area managers for timely submission of accounting data and documents.

Ø Maintain and update petty cash expense records from multiple store locations.

Ø Prepare and calculate store commission workings as per company policies.

Ø Process and record creditors’ payments accurately and on schedule.

Ø Support the finance team with routine accounting functions and reconciliations.

Ø Ensure accuracy and completeness of store-level financial entries.

Ø Assist in generating reports as required by the management.

Job Type: Full-time

Pay: ₹15,000.00 - ₹17,000.00 per month

Work Location: In person

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