1. Processing and paying invoices
2. Recording receipts and payments
3. Preparing and checking ledger balances and other monthly and yearly accounts
4. Completing and submitting tax returns, TDS returns and national insurance contributions
5. Handling company expenses
6. Preparing financial reports
7. Planning and budget control
8. Prepare journal entries, sales & purchase entries and cash entries
9. Complete general ledger operations
10. Monthly closings and preparation of monthly financial statements
11. Reconcile and maintain balance sheet accounts
12. Draw up monthly financial reports
13. Prepare analysis of accounts as requested
14. Assist with year-end closings
15. Administer accounts receivable and accounts payable
16. Prepare tax computations and returns
17. Assist in preparing budgets and forecasts
18. Assist with payroll administration
19. Monitor and resolve bank issues including fee anomalies and check differences
20. Account/bank reconciliations
21. Review and process expense reports
22. Assist with the preparation and coordination of the audit process
23. Monthly GST & TDS working
24. Bank statement entries
Experience
1 - 3 Years
No. of Openings
3
Education
B.Sc, Higher Secondary, Secondary School
Role
Finance Executive
Industry Type
Banking / Financial Services / Stock Broking
Gender
[ Male / Female ]
Job Country
India
Type of Job
Full Time
Work Location Type
Work from Office