Description
Prepare daily bank & cash reconciliation entries
Prepare monthly reconciliation, general ledger balances, research discrepancies& prepare adjusting transactions necessary to make corrections
Arrange & support inter & external audit
2 Rotational off
Required Candidate profile
Maintenance of various accounting area
Fixed Assets Prepayment schedules Other accounting schedule
Prepare commission calc freight tax calculation & post journal
Call or what app Ashwini @ 8591702057