Role & responsibilities :-
Managing Day to Day Accounting work of Payables, Receivables, Bank Reconciliation, Ledger
Maintenance and other Accounting entries.
- Maintaining Petty Cash Register and with supporting documents
- Ensure an accurate and timely monthly, quarterly and year end closures of accounts.
- Applicant should have working knowledge of MS. Office, SAP and Internet
- Coordinating with Head Office for Accounts & Finance related reports.
- Prepare Accounts & Tax related Tracker & MIS Report.
Interested candidates kindly share your updated resume
hr*********b@dm*******a.com / ra*******a@dm*******a.com
Or WhatsApp on 7508226***

Keyskills: Accounts TDS Gst Bank Reconciliation Accounts Payable
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