Job Description:1) Regular Updating of all cash/Bank Transactions, assist in processing and finalization of accounts.2) Checking, Verification of Bills Payable, Preparation of Payment voucher and accounting with proper narration on daily basis.3) Petty Cash handling and reconciliation of cash & bankbooks.4) Regular Coordination and liaison with Banks from time to time.5) Regular update, implementation and generate reports from Financial Module..expertise on tally softwareKey skillsCash HandlingBRSPayablesReceivables Petty Cash Physical Stock verification VouchersJob Types: Full-time, Regular / PermanentSalary: 10,000.00 - 15,000.00 per month