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Applicants:2
Posted on 30 May, 2025
Maintain accounts & prepare journal entries
Handle general ledger, A/P, A/R
Monthly closings, financial statements, MIS reports
Reconcile balance sheet & bank accounts
Prepare tax returns (GST, TDS, TCS, IT)
Perform 26AS reconciliation
Assist budgeting, forecasting, audits
Process expense reports, vendor payments
Support fundraising & finance