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- ...compliance with accounting principles and regulations. Daily tasks include handling accounts payable and receivable, performing reconciliations, creating budgets, and generating financial reports. The role also involves analyzing financial data, assisting with audits, and...SuggestedArticleshipFull timeImmediate start
- ...Skills: Financial Reporting, Financial Analysis, Account Reconciliation, GST, Personal Income Tax Returns, TAX, Senior Accountant for a full-time position located in Kalyan. Job Overview Must have CA Firm experience Senior Accountant for a full-time position...SuggestedFull time
- ...including preparing financial reports, ensuring compliance with accounting principles, maintaining the general ledger, performing reconciliations, and preparing tax filings. The role also includes budget preparation, financial forecasting, supporting audits, and analyzing...SuggestedFull time
- ...Responsibilities: Lead and manage the end-to-end accounting function (Accounts Payable, Accounts Receivable, General Ledger, Bank Reconciliation, etc.). Oversee monthly, quarterly, and annual closing of books of accounts . Ensure compliance with statutory...Suggested
- ...Job Description M/s ATMS & Co. LLP is the Chartered Accountant Firm in Thane. The firm aims at providing consultancy services with... ...accounts payable/receivable, general ledger, and bank reconciliations. Ensure timely preparation of financial statements (P&L, Balance...Suggested
- ...final qualified is must Location:- Andheri East, Mumbai Interview:- f2f Director interview Role and Responsibility:- Daily reconciliation of all revenue accounts (sales, purchases, bank, cash etc). Examination of month end bank reconciliation and pl analysis for...SuggestedSaturday
- ...Debit Notes Prepare and maintain GST workings , including: Monthly GST returns filing (GSTR-1, GSTR-3B) GST payments and reconciliation Handle TDS responsibilities: Monthly TDS calculations & payments Quarterly TDS return filing (Form 26Q, 24Q, etc.)...SuggestedFull time
- ...Excel ~Monthly payment and return filing for PT, PF & ESIC. ~Labour payment calculation and Bill entries in SAP, and monthly reconciliation. ~ Salary JE and payment entries in SAP and monthly reconciliation. ~ Handling salary and payment-related queries of Labour and...SuggestedFull time
- ...Accounting and statutory documentation. Maintenance of good internal financial controls. Timely & monthly book closing, Bank reconciliation, Ledger Scrutiny etc. Preparation of monthly P&L & Balance sheet. Preparation of various information/MIS required....Suggested
- ...procedures 11) Reviewing and checking all works and tasks handled by Accounts and Finance Dept Employees 12) Reviewing all Bank Reconciliations 13) Maintaining confidentiality and secrecy of the department at all levels 14) Analyzing of company revenues, Profit & Loss...SuggestedPermanent employmentFull time
- ...bills, expense entries, payment follow ups etc Must have knowledge of various GST Returns, GSTR-3B and GSTR-1 and GSTR 9, GST Reconciliation etc Having knowledge of TDS Provisions for TDS Returns fillings Responsible for maintenance of accounts independently Accounting...SuggestedLong term contract
- ...Accounting and Bookkeeping: Maintain accurate financial records, including general ledger entries, accounts payable/receivable, and reconciliations. Prepare and maintain invoices, bills, and payment records. 2.Financial Reporting: Prepare monthly, quarterly, and annual...SuggestedFull time
- ...annual appraisals and issue revised letters post-review. Handle mid-year salary corrections and issue corresponding letters. Salary Reconciliation with Trial Balance Conduct quarterly reconciliation of salary data with the finance team's trial balance. Actuarial Data...SuggestedFull time
- ...requirements. Manage end-to-end accounting operations including receivables, payables, provisions, and ledger maintenance. Perform reconciliations and ensure integrity of financial data across systems. Audit & Compliance Lead and support statutory, internal, and tax...Suggested
- ...financial stability. Prepare and review monthly and annual financial reports with variance analysis. Ensure timely and accurate reconciliation of bank statements, inter-company accounts, and ledgers . Manage accounts payable and receivable functions, ensuring proper...Suggested
- ...overseas subsidiaries in compliance with applicable accounting standards. Manage intercompany transactions, including billing, reconciliation, and settlement. Variance Analysis Conduct detailed variance analysis for budgets, and actuals. Provide actionable insights...Work at officeImmediate startOverseas
- ...profit & loss, and cash flow statements. Manage the consolidation process, including intercompany eliminations, adjustments, and reconciliation of group accounts. Ensure accurate consolidation of subsidiaries using appropriate accounting policies and consolidation...
- ...Job Description Key Responsibilities -Monitor accounts to identify overdue payments and follow up with clients. -Perform regular reconciliations of customer accounts and resolve discrepancies. -Record daily receipts and allocate payments against invoices. -Coordinate with...
- ...manage key financial operations, including book closures, accounts payable & receivable, profitability analysis, variance analysis, reconciliations, and forecasting. The ideal candidate will have strong analytical skills and attention to detail, ensuring accuracy in financial...
- ...activities in FA, and support for MIS/reporting activities. Ensure timely processing of reinsurance remittances, Balance sheet reconciliations, accounting system reconciliation. AR trade spread and Working capital forecast. Review invoicing, debit credit notes and...Full timeShift work
- ...Industry: Insurance Location: Mumbai (Powai) Experience: Minimum 2-5 years. Function / Vertical: Accounts Receivable including Reconciliation of Receipts Educational Qualification: B Com / MCOM/ MBA Finance Additional Qualification: Minimum 2 years of experience...
- ...Accounting & Reporting Oversee day-to-day accounting operations including accounts payable/receivable, general ledger, and bank reconciliations. Ensure timely closure of monthly, quarterly, and annual financial statements. Prepare MIS reports, financial dashboards,...
- ...accounting entries. 2. Prepare and analyze financial reports, budgets, and forecasts to support decision-making processes. 3. Perform reconciliations of accounts and maintain financial records in compliance with regulations. 4. Assist in the preparation of tax returns and...Part timeImmediate start
- ...Key Responsibilities: Maintain daily accounts and financial records. Prepare and post journal entries, bank reconciliations, and ledgers. Handle accounts payable/receivable, invoices, and expense reports. Assist in monthly, quarterly, and annual closing activities...
- ...development of team members. Job Summary Responsible for overseeing end-to-end finance operations, balance sheet analysis and reconciliations, review and management of month end Profit and Loss, Fluctuation variance analysis and review of statutory accounts, looking to...Long term contractLocal areaFlexible hours
- ...site role for a Junior Account Executive - Masjid Bandar located in Thane. The Junior Account 1. Sales Purchase Entries. 2. Bank Reconciliation. 3. TDS Working. 4. GST Working & Reconciliation 5. Accounts Payable & Receivable 6. Stock Management. 7. Assist For...Full time
- ...employee master data updates. Resolve employee payroll queries and provide payslips. Maintain payroll records, MIS reports, and reconciliation of payroll with accounts. Liaise with auditors and government authorities when required. Qualifications & Experience ~...
- ...general ledger accounts Proficiency in preparing financial statements and conducting financial analysis Skills in bank statement reconciliation and ensuring timely and accurate reporting Knowledge of accounting standards and regulations, with experience in providing...Long term contractFull timeWeekend work
- ...case etc. . Review and Dashboard management is completed with all team members updates . Accountable for all reporting and reconciliations, Payroll tax updates, including the oversight of all year-end activities with vendor . Ensuring team is updating Payroll KPI...Full time
- ...overseas subsidiaries in compliance with applicable accounting standards. - Manage intercompany transactions, including billing, reconciliation, and settlement. - Variance Analysis - Conduct detailed variance analysis for budgets, and actuals. - Provide...Overseas