Search Results: 10 vacancies
...constantly endeavor to improve existing customer relationships and
involve in Sales to deepen the same
To generate fee revenue for the Bank with the help of Insurance, Mutual
fund, Trade finance business, etc
To keep updating knowledge and exposure to various...
...Responsibilities
Manage all financial transactions, including accounts payable and receivable, general ledger entries, and bank reconciliations
Prepare and analyze financial statements and reports to ensure accuracy and compliance with regulations
Assist with...
...member in the Finance Department
Our ideal candidate demonstrates interest in managing accounting activities, including bank reconciliations, accounts payable and accounts receivable. You should also have excellent organizational skills and be able to handle time-sensitive...
...allocate, post and reconcile accounts payable and receivable
Prepare financial statements
Preparing and filing for taxes
Bank reconciliation
Vendor management
Payroll management
Skills & Requirements
Tally ERP (Tally course)
English communication...
...On-time and Correct payment to Business Partner
Supplier reconciliation of Payment and GST reconciliation (Books and GST return data)... ...Daily/Weekly Invoice booking and payment of Expenses.
Bank entry and reconciliation.
Prepare a report for Daily/Weekly...
...adapt to new accounting tools.
E-Invoicing proficiency.
TDS - Payments and Returns (Salary + Non-Salary).
GST - Payments, Reconciliation, Monthly and Yearly filings.
Income Tax compliance.
Liaison with auditors and tax officers when necessary.
Good...
...all business transactions are recorded
Update accounts receivable and issue invoices
Update accounts payable and perform reconciliations
Assist in the processing of balance sheets, income statements and other financial statements according to legal and company...
...Solutions like LAN, WAN , ELV projects.
Should be able identify node identification from Auto-Cad drawings
Should have knowledge of different structure cabling documents like Rack elevation diagram, Fiber Route, UTP route, UTP measurement and Material Reconciliation.
...and cross check in caliber LIMS.
Initiation & approval of daily pull-out of samples in CALIBER LIMS.
Issuing the Sample reconciliation form & Caliber LIMS review checklist (To be filled for sample login and MGR review), after complete activity of initiation & approval...
...Responsible for Dispatch of Materials
Stock Auditing
Accounts Management
To prepare basic and some intermediate account reconciliations
To prepare schedules, reports, and ad-hoc projects
To prepare routine and one-time journal entries
To prepare physical...