Core roles of the candidate include:
- Maintenance of financial accounts and transaction records, including review, posting, and reconciliation.
- Effective and use of financial accounting software to log transactions in accordance with the designated chart of accounts.
- Maintenance and balancing of the general ledger.
- To Maintain Customer/Vendor Ledger Reconciliation
- Assistance with payables, receivables, and cash management functions.
- To hold Monthly Sock Count.
- To Prepare Monthly Bank Reconciliation Statement.
Full Time & Part Time Both are Available