Hiring For Accounts fresher

3 days ago


Pune, Maharashtra, India Saisystems Technology Full time ₹ 3,00,000 - ₹ 6,00,000 per year

As a Junior Accounts Analyst specializing in bank reconciliation and journal entry, person will be responsible for ensuring accurate and timely financial record-keeping for the organization. This entry-level role is ideal for a recent graduate or early-career professional looking to develop practical skills in financial reporting, general ledger maintenance, and transactional analysis. Youll work closely with the senior finance team to ensure accuracy, compliance, and timely execution of financial processes.

Roles and Responsibilities

Bank Reconciliation:

Perform monthly bank reconciliations for assigned company accounts.

Match and reconcile bank statements with internal financial records.

Identify and resolve discrepancies, variances, or unmatched items.

Monitor and track outstanding checks, deposits, and other transactions.

Ensure accuracy and completeness of documentation.

Journal Entry:

Prepare and post journal entries to record financial transactions accurately.

Analyze and classify various types of transactions for proper recording.

Maintain and update the general ledger with accurate account balances.

Assist in the month-end and year-end closing procedures.

Financial Reporting Support:

Assist in the preparation of financial statements, reports, and schedules.

Compile data for internal and external reporting requirements.

Ensure compliance with accounting principles, regulations, and standards.

Contribute to the preparation of audit schedules and support audit activities.

Team Collaboration and Communication:

Collaborate with senior analysts, team leads, and cross-functional teams as necessary.

Participate in team meetings to share updates, discuss queries and provide insights.

ontribute to a positive and collaborative work environment.

Qualifications and Skills:

  • Bachelors degree in accounting, Finance, or a related field.
  • Knowledge of accounting principles and practices is required.
  • Basic understanding of bank reconciliation and journal entry processes.
  • Proficiency in financial software and tools (e.g., ERP systems, Excel).
  • Strong attention to detail, accuracy, and problem-solving skills.
  • Effective communication and interpersonal skills.
  • Ability to manage time effectively and work in a team-oriented setting.
  • Adaptability and willingness to learn and grow in a dynamic environment.
  • Professionalism and integrity in handling sensitive financial information.
  • Complete assigned reconciliation and posting tasks within project SLA timelines and escalate delays proactively to supervisors.

Experience: 0 years (Fresher) to 2 years


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