About this role
- Updation of financial transactions regularly in the internal database
- General accounting activities - Maintenance of the Financial transactions , Bank reconciliation, Payments to vendors, Checking of cash vouchers etc
- Assisting in Monthly reportings.
- Prepare & file monthly statutory compliances data.
- Reconciliation of bank statement on daily basis & passing on the informations to the concern persons.
- Assisting in various assesment related works & other group requirements.
- Handle account inquiries from internal and external sources.