Job Description
Roles and Responsibilities
Prepare daily bank & cash reconciliation journal entries.
Prepare monthly reconciliation for the accounts detailing the general ledger balances, research discrepancies, and prepare adjusting transactions necessary to make corrections to appropriate accounting records.
Provide support to agency and head office with reconciliation along with their queries
Prepare commission calculations, freight tax calculation and post journals
Prepare and input other adjusting, monthly, recurring journal entries
Arrange and support in audit both inter & external and in matters of compliance
Maintenance of various accounting areas
Fixed Assets
Desired Candidate Profile
2+ years (preferably 4 years) of responsible accounting experience; reconciliation experience with mid to large size organization, outsourcing & share services experience preferred
Perks and Benefits
30% Hike on last salary + sodexo coupons worth 2700 + night shift allowance 250 rs