Immediate Requirement
Variance analysis
RECONCILE bank and balance sheet
Budget forecasting/bills exchange, cash flow forecast,
Consolidation of financial statement
Preparation of AR /AP Aging reports
Fixed assets
Depreciation
Prep and processing of journal entries
AP/AR process MGT
Order to cash, cash flow, o2c cycle.
Invoice posting and prep of trial balance
Maintenance of all ledger accounts

Qualification: Graduates / Undergraduates / Post Graduates Can Apply.

Experience: 0 to 6 years experience.
Shifts: Us / UK / Australian / Day shift

Contact person: Nithya – 9900073504

Email @: [HIDDEN TEXT]


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