Capgemini - Kolkata, West Bengal 

Candidate should have good understanding of end to end knowledge of accounting flows. Good analytical and organizational skills.

KPMG - Delhi, Delhi 

Preparation of parts of or complete buy-side and sell-side pitches including credentials, investment highlights, industry overview, buyer/target identification…

Jumbotail Technologies - India 

Co-ordinate with internal stakeholders – Customer Delight team, central team, superiors, and other support functions to complete reconciliation.

IDBI Federal Life Insurance Co Ltd - Mumbai, Maharashtra 

Prepare OPEX report on a monthly basis and review the general ledgers for expense variance. Review to ensure accounting of expenses including provisions in the…

Aryasecurity - Mumbai, Maharashtra 

Managing all payments (Accounts Payable Division), Managing all receipts (Accounts Receivable Division), General Accounts (General Ledger / Books of Accounts…

Savvysoft Technologies Pvt. Ltd. - Chennai, Tamil Nadu 

The main responsibilities will Finance & Accounting including Reconciliation of GL and Sub Ledgers, Journal entries, and production of various reports like…

Cvent - Gurgaon, Haryana 

Perform various financial and accounting analysis. Assistance in Monthly Closure of books of accounts (Cvent Inc.). O Processing remittances on a monthly basis.

CostKing Wholesale - Chennai, Tamil Nadu 

This position will oversee the daily, monthly and annual transactions in wholesale business from Accounting point of view and will ensure accuracy, completeness…

Citi - Gurgaon, Haryana +1 location

Assist in reviewing stock and cash reconciliations as a Checker to ensure the exceptions noted have no NAV impact and items cleared are treated correctly.

D Mart - Kopar Khairane, Navi Mumbai, Maharashtra 

Processing bills, accounting and payment thereof to prepare monthly MIS. Responsible for petty cash and bank reconciliation. DMart was started by Mr.

EY - Gurgaon, Haryana 

Demonstrate strong quantitative and qualitative skills, knowledge of accounting and economics is important. To work with accounting and financial data, analyze,…

Intcom Systems - Mumbai, Maharashtra 

Salary cheque and petty cash. Payment follow up with account manager & customer. Vendors payment & end customers payment follow up.

NKG Infrastructure - New Delhi, Delhi +1 location

Assist to preparation of daily, monthly finance statement, MIS Report and yearly closings. Maintaining and Reconciliation of daybook, employees, vendors and…

Fluor Corporation - Gurgaon, Haryana 

Under direct supervision, this positions works on the most complex clerical functions related to accounting activities. SAP-BW, Hyperion / Smart view software.

FabHotels - Bengaluru, Karnataka 

Petty Cash handling and reconciliation of cash & bankbooks. On time verification, processing & accounting of payables/receivables.

ChildFund International - India 

Ensure that the accounting transactions and financial reports/statements are in accordance with ChildFund accounting policies, US and local GAAP of host Country…

Alexa Manpower Services - Ludhiana, Punjab 


Barclays - Noida, Uttar Pradesh 

Coordinate effectively with other teams within Purchase to Pay including the Service Desk, Payments, Global Vendor Hub, Operations/Data management teams to…

JLL - Gurgaon, Haryana 

Sound knowledge of Accounting including Trial Balance, sub ledger reconciliations and VAT accounting. Responsible for service charge accounting of portfolios…

Sea Bird Refrigeration Pvt. Ltd. - Patparganj, Delhi, Delhi 

Inventory Management-Bill of Materials, sales invoicing including point-of-sale billing sales & purchase order processing grouping & categorization of stock…