Need to update the Loading & Unloading Cost
To be Verify the Cash Book
To be Verify the Bank Reconciliations
To be Verify the Branch Reconciliations
Need to pullout the Billing Vs Costing report
PD Account Reconciliations
Need to Check utility Billing & Other Monthly Bills Checking
to be Verify the Loading & Unloading cost. Cost booked More than billing. Cost booked without Revenue, Revenue generated without Cost
Verification of TPT Cost, TPT Cost Booked more than billing, TPT Cost booked without Billing,
Sundry creditors Reconciliations
Sundry debtors Reconciliation and Receipts updating
All other Ledger Accounts Verifications
Salaries Verifications
PF,ESI & PT Verifications
TDS Payable Verifications
GSTR-1 & GSTR-3B Verification
GSTR-2A Verifications
Form26AS-Verification
- Experience2 - 4 Years
- No. of Openings2
- RoleAccounts Executive
- Industry TypeBanking / Financial Services / Stock Broking
- GenderMale
- Job CountryIndia
- Job TypeWork from Office