Finance executive

Bazargate, MumbaiOn-siteIndividual contributorFound Aug 1
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accountingbookkeepingreconciliationgsttdspayablesreceivablesfinancial reporting

Job Description: Manage day-to-day accounting transactions and book keeping. Prepare and maintain financial statements, ledgers, and reconciliations. Handle Bank, Vendor, Customer, and Inter-company reconciliations. Ensure timely GST, TDS, PT, and other statutory compliances. Assist in monthly, quarterly, and annual financial closing Process vendor payments and monitor accounts payable/receivable

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Acme Services Private LimitedFinance executive
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