Qualification: Dip/Degree
Job Responsiblities:-
Monitor and resolve bank issues and prepare of Bank Reconciliation Statements.
Handling of Staff salary, muster roll payment, and vendor and contractor payment.
Handling of employee Reimbursement as per the policy.
Reconciliation and physical verification of fixed assets and calculation of its depreciation value.
Preparation of Cheques and entry into accounting systems.
Review and process expense report and control business costing.
Assist to preparation of daily, monthly finance statement, MIS Report and yearly closings.
Assist to preparation of the tax returns, audit process.
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