Managing the books of account along with books closure at the month-end and year-end
MIS submission to the management
Job Responsibilities
Reconciliation of related party, bank, GL and vendor on a monthly basisFixed asset management along with CWIP and DepreciationClosing the audit-related requirementCo-ordinating with vendors for the invoices, checking and making the paymentSharing cash flow requirements with the treasury department on a monthly basis
Job Requirements
5-7 years of experience BS degree in Accounting, Finance or relevant