Basic Information
Job Description
- Making entries of cash and bank transactions electronically
- Preparing of daily cash & bank transaction report in prescribed format
- Making entries of sales and purchase of goods as well as making entries in purchase and sales register
- Reconciling bank accounts on a monthly basis
- Checking new vendor and customer PAN/VAT registration and address details. Check filers and non-filers and report to seniors.
- Checking expense vouchers to standards prepared by supervisors and report any discrepancies
- Getting the customer and vendor reconciliation signed and stamped on a bi-annual basis
- Verifying every month if our suppliers/customers are filers or not and report any discrepancies to seniors
- Preparing and reporting of party ledgers
- Preparing management reports as required
- Analyzing and reporting of customer and vendor aging
- Preparing plan for monthly cash flow and report to seniors.
- Carrying out of appraisals of other employees in sincere and honest manner
- Any additional work given by seniors as and when required
Job Requirements
- Candidate must have strong conceptual and practical knowledge of bank reconciliation, ledger reconciliation and cash reconcialiation.
- At least 1 year of experience in the account or finance department of a trading and/or manufacturing company
- Should have experience in data entry and producing reports through accounting software.
- Should have good knowledge of accounting principles and practices.
- Should be able to use accounting software
- Candidate must have strong conceptual and practical knowledge of MS Office, Internet, & Emal and tally.
- Maintain stock keeping of company.
- Should have good communication skills.
- Should have mathematical and calculations skills.
Special Information
Interested candidates are highly encouraged to drop their updated resume to ktm.hr@froxjob.com
For further information, directly contact at 9801898006 (Usha).