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Responsibilities
-Liaising with regional offices to collect information.
- Recording of financial transactions and corroborating the same with supporting documents.
- Cash and bank Reconciliations.
- Managing petty cash transactions.
Understanding of Accrual and other accounting concepts.
Identify discrepancies in ledgers and accounts, tracking them to the source and correcting the same.
- Maintain receivables and payable ledgers and reconcile the same regularly.
- Coordination with other team members for completion of management reports.
Provide supporting documents to auditor in accordance with annual audit plan.
Skills
- Account's administration
- Cash and bank reconciliation
- Hands on Experience of ERP and other reporting software's
- Good communication skills
- Working experience of trading /distribution industry
Requirements
-Minimum Bachelors in relevant domain BBA, MBA or M.COM
-Professional Certification like CA Inter or ACCA part Qualified is preferred.
-2 Years of minimum experience in relevant field.
Pay: From Rs60,000.00 per month
Work Location: In person
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