Job Description

KEY DELIVERABLES:

  1. Assist with the preparation of financial statements.
  2. Analyze and reconcile bank statements and general ledgers.
  3. Post journal entries for accrued expenses and revenue.
  4. Experience in GST Return filling.
  5. Knowledge of TDS Knowledge of PF Compliances Busy Data entry Act as a liaison for vendors to reconcile billing discrepancies.
Job Category: accountant
Job Type: Full Time
Job Location: england

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