Job Description
Reporting Financial Statements (Cash Flows, P&L, Balance Sheets)Cost allocation center-wise with respect to projects.VAT Filings for returns and subsequent adjustmentsBank Accounts Operating, Reconciliation, and WPS Management.Monthly payabl reconciliation and follow-ups with teams.Petty Cash Expenses, Payments Management in Tal Software Management.General ledgers, trial balance, and chart of accounts management in ERP software.Considering the Activity-Based Costing Analysis for apportionment of expenses.Ensuring the monthly closing based on accruals and provisions for reports.Monitor Accounts to ensure transaction recordings are up to date
Requirement
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