- Accounts Payable & Receivable: Process vendor invoices, manage payments, issue client invoices, and track outstanding payments. NextInHR
- Reconciliation: Perform daily/monthly bank reconciliations and reconcile client and supplier ledger accounts. Agrileaf +1
- Financial Reporting: Assist in preparing month-end and year-end closing activities, as well as periodic reports like balance sheets and cash flow statements. Credifin Limited +1
- Audits & Compliance: Support internal and external audits by gathering and organizing necessary financial documentation. Expertia AI +1
- Statutory Compliance: Assist with tax computations, GST filings (or respective regional taxation), and other statutory requirements.
- Petty Cash Management: Monitor and disburse petty cash funds while maintaining appropriate logs and receipts.
Pay: ₹10,679.27 - ₹30,647.67 per month
Benefits:
- Paid sick time
- Provident Fund
Work Location: In person