Key Responsibilities
- Reconcile daily and monthly bank accounts across multiple currencies or entities.
- Compare internal cash ledgers with bank statements to spot outstanding checks and deposits in transit.
- Investigate and resolve variances, errors, or missing data in a timely manner.
- Prepare adjusting journal entries for bank fees, interest, and global disbursements.
- Assist the finance team during month-end and year-end closing
Pay: ₹200,000.00 - ₹1,000,000.00 per year
Work Location: In person