Account Executive
2 weeks ago
**Job Summary**:
**Key Roles & Responsibilities**:
- Manage domestic and foreign bank payments, receipts, and reconciliations.
- Verify and book vendor invoices; conduct regular vendor reconciliations and other GL reconciliations.
- Process employee travel claims in accordance with company policy.
- Prepare and maintain daily/monthly MIS reports related to cash and bank.
- Maintain accurate financial records and ensure proper documentation as per statutory and company requirements.
- Track insurance policies, obtain quotations, and ensure timely renewals.
- Oversee daily bank and cash transactions with accurate monitoring and reporting.
- Liaise with internal and statutory auditors and provide necessary audit support.
- Prepare working files for GST, TDS, and Income Tax filings.
**Skills Required**:
- Strong proficiency in Microsoft Excel
- Good knowledge of TDS and GST
- Good verbal and written communication abilities
**Job Types**: Full-time, Permanent
Pay: ₹15,000.00 - ₹30,000.00 per month
**Benefits**:
- Flexible schedule
- Paid time off
- Provident Fund
Schedule:
- Morning shift
Supplemental Pay:
- Yearly bonus
**Language**:
- English (preferred)
Work Location: In person
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