- Record all financial transactions (journal entries) accurately and on time.
- Ensure all entries are properly supported by documentation.
- Maintain and update the chart of accounts.
- Classify transactions to correct accounts and cost centers.
- Prepare and post accruals, prepayments, and adjustments.
- Ensure all sub-ledgers (Accounts Payable, Accounts Receivable, Fixed Assets, Payroll, etc.) are closed and reconciled.
- Review and validate account balances for completeness and accuracy.
- Assist in generating trial balance and financial statements.
Job Type: Full-time
Pay: ₹283,213.42 - ₹739,400.34 per year
Work Location: In person