- Managing daily books of accounts & inventory
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Preparation of cash book, bank, journals & supplier invoice
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Reconciliation of statements
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Managing bank transaction activities
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Preparation of Balance sheets and Profit & Loss accounts.
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Month end activities, tax compliance, revenue reconciliations, Balance sheet reconciliations.
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Post expense accruals, and revenue accruals, initiate payments in bank etc...
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Performing other duties as assigned.
This position requires reporting to the Sr. Manager of the client.
- Strong interpersonal skills – ability to work closely with people at all levels of the organization.
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Average verbal and written communication.
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Excellent presentation skills.
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B.COM having 0 to 2 yrs. experience
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Proficient in MS Word, Excel, and PowerPoint.
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Willing to travel