Average salary: Rs3,510,527 /yearly
More statsSearch Results: 107 vacancies
BANDHAN BANK START YOUR CAREER aT BANDHAN BANK DSA (***) ***-****
BANK DSA HIRING FOR CUSTOMER SERVICE OFFICER AND OFFICE EXECUTIVE. SELECTION FOR DOCUMENTS COLLECTION, KYC VERIFICATION DEPARTMENT, BRANCH RELATION SHIP EXECUTIVE, DATA ENTRY OPERATOR, BACK OFFICE SEGMENTS. MINIMUM...
...statements accompanied by thorough documentation.
~Record journal entries and accruals in the general ledger.
~Perform monthly bank reconciliations.
~Validate and reconcile all balance sheet accounts on a monthly basis.
~Analyze all profit and loss accounts, elucidating...
$ 50000 p.a.
...Manager will be responsible for ensuring daily postings and monthly reconciliation deadlines are met for all treasury transactions (including cash... ...doing
~Assist with the implementation of Oracle NetSuiteâs banking & cash management modules
~Identify opportunities and...
...processing invoices, payments, managing purchase orders, data entry to Quickbooks).
~Tracking and reconciliation of donations.
~Preparation of monthly reconciliations (e.g. Bank Reconciliation)
~Preparation of monthly grant reports.
~Preparation of monthly salary...
...tools
Experience employing root cause analysis for data quality analysis, redundancy elimination, source identification and data reconciliation.
What are the conditions and bonuses?
Medical insurance and social benefits;
Sick-leaves;
Remote work;
Referral...
Remote job
...payroll related attributes.
~W-2 and other similar yearly activities coordination.
~Preparation of compensation related account reconciliations.
~Assistance with Accounts Payable and Travel Expense Duties:
~Expense report audit and process communication for offsite...
...Dallas Requests for Payment (RFP)
b. Journal Entries (JE)
c. Performing Payroll and Marketing Allocations
d. Purchasing Card Reconciliation Reports (P-Card) and timely submission of P-Card entries from staff
e. Ad Hoc as assigned
#Coordinate with Vendors to Ensure...
$ 70000 p.a.
...invoices
~Provides month end reporting on project performance with notifications for funding needed or overspending
~Subcontractor reconciliations for work force hours worked and billed seeking proper approval
~Prepares specialized reports and accounting analysis by...
...Management Plan, including development of specific processes to assure consistency within the project.
• Supports creation of the SAE/AE reconciliation plan and supports SAE reconciliation in accordance with this plan and other project specific guidelines.
• Assures consistency...
Remote job
...Income Tax Returns, Provident Fund, Profession Tax, Financial Statements, other regulatory filings and filing of GST returns. Ensure reconciliation of sales and purchases, along with the reconciliation of GST returns - GSTR 1, GSTR 3B, and GSTR 2A/2B. Prepare and file the...
Remote job
...~Assist with the yearly 1099 process.
~Assist with month-end closing procedures, including the preparation of monthly account reconciliations and providing support to the accounting team.
~Supporting external and internal audit requirements related to accounts payable...
...testing on ad creatives and landing page elements and ensure statistically significant improvements.
Be responsible for data reconciliation and attribution accuracy between GTM, GA4 and various ad platforms so we know that ad platforms are not overattributing themselves...
Remote job
...contract until 31 March 2026 and there is currently funding for this contract until 31 March 2026.
Benefits: 25 days’ annual leave plus bank holidays (this will increase with service up to 30 days, full time equivalent) cashback and discount scheme, employee assistance...
$ 71000 p.a.
...responsible for assisting in all areas related to the monthly reporting cycle. This position will directly own monthly entries and reconciliations and will be responsible for researching and resolving complex accounting issues as they arise.
Core Responsibilities...
...ensure patient/family are informed of patient condition, plan of care and discharge plan, all discharge instructions, medication reconciliation; rationale of Utilization Management determinations and any financial information associated with such, potential for LTC transition...
...licensed provider. During the VHA appointment the licensed provider will perform preventative care screenings, complete medication reconciliation, diagnose medical conditions and provide health coaching, referrals and treatment when clinically appropriate. This role will also...
...reviews according to the results of performance appraisal;
~5 days paid sick leave and 18 working-days’ vacation;
~ Days off on National/Bank Holidays according to the legislation of Ukraine;
~ Conferences, knowledge sharing activities, certification;
~ Availability of...
Remote job
...Manager of Inventory Accounting Responsibilities:
~Review month-end accounting activities, including variance analysis and account reconciliations to provide accurate inventory valuation and reporting.
~Perform monthly purchase price variance and inventory adjustment...
...Contract: Our services are contracted, we currently have funding for this contract until 31 March 2025.
Benefits: 25 days’ annual leave plus bank holidays (this will increase with service up to 30 days, full time equivalent) cashback and discount scheme, employee assistance...
...6. Services are contracted and there is currently funding for this contract until 31 March 2026.
Benefits: 25 days’ annual leave plus bank holidays (this will increase with service up to 30 days, full time equivalent) cashback and discount scheme, employee assistance programme...