Perform daily bank reconciliations and ensure accuracy of recorded transactions.
Enter bank-related entries in Tally, including receipts, payments, and transfers.
Handle PCA (Pre-Closure Adjustment) entries in Tally PKG as per internal processes.
Maintain accurate and up-to-date accounting records in Tally.
Assist in month-end closing activities and support internal/external audits.
Coordinate with the bank and internal teams for transaction clarifications.
Candidate Requirements:
Bachelors degree in Commerce or Accounting (B.Com preferred).
12 years of experience in accounting or finance roles.
Proficiency in Tally (Tally PKG) with hands-on experience in bank entries and PCA entries.
Good understanding of bank reconciliation processes.
Working knowledge of MS Excel and basic accounting principles.
Attention to detail, strong organizational skills, and reliability.
For more details, contact: Nithin Kadiyala 9392374***
Job Classification
Industry: IT Services & ConsultingFunctional Area / Department: Finance & AccountingRole Category: FinanceRole: Finance ExecutiveEmployement Type: Full time