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Job Description
Maintenance of accounting system
Managing Daily cash balance
Reconciliation of ledger accounts
Invoicing for the products / services
Monitoring collections and updating periodically the receivables positions.
Preparation of year end trail balance and related files for audit.
Preparation of budgets and tracking & reporting against budgets.
Other analysis as required
Preparation of monthly payroll and filing of PF, ESI, LWF, TDS, GST
Maintaining relationship with Banks, service providers, etc
Preparing and presenting financial reports for meetings
Working with executives and business heads to prepare budgets and track profit / loss performance by business unit.
Must maintain confidentiality.
5+ Years of experience is must (Preferably in IT Company
Skills
Manager , Finance , Administration Work , Administration Work ,
Qualifications
- Graduates