11

Cash Flow Job Vacancies in Pune

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  • 0 - 2 yrs
  • 2.5 Lac/Yr
  • Akurdi Pune
Accounting Software Account Payable Account Receivable Cash Flow Income Tax Return
ACCOUNTING JOB IN AKURDI AND CHIKLI
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Office Accountant (Female)

Shashwatlaxmi Urban Nidhi Limited

  • 0 - 3 yrs
  • 2.3 Lac/Yr
  • Pune
Account Income Tax Account Receivable Account Payable Balance Sheet Income Tax Audit Cash Flow Bank Reconciliation GST TDS
Job Title: Accountant Corporate BankLocation: Old Sanghavi, PuneExperience: 04 YearsRoles & Responsibilities:Maintain day-to-day accounting and banking transactionsHandle ledger posting, journal entries, and account reconciliationSupport corporate banking operations including loan and interest accountingPrepare MIS reports, trial balance, and financial statementsEnsure compliance with RBI guidelines and internal policiesAssist in audits, statutory filings, GST & TDS work.Requirements:B.Com / M.Com / Finance graduateExperience in corporate banking or financial servicesKnowledge of accounting software & MS ExcelStrong attention to detail and compliance knowledgeSalary: As per industry standards
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  • 1 - 2 yrs
  • 2.3 Lac/Yr
  • Pune
Account Payable Account Receivable Taxation Balance Sheet Cash Flow GST Return
This is account come administration job to handle invoicing, dispatch documents, Payment follow up, Making ledger and other administration activities of the office
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Office Accountant

ATHARV ENTERPRISES

  • 3 - 5 yrs
  • 3.0 Lac/Yr
  • Kondhwa Pune
TDS INCOME TAX GST Banking Operations Income Tax Account Payable Taxation Bank Reconciliation Income Tax Audit Cash Flow TDS Return Income Tax Return Balance Sheet GST Return Tally ERP Account Receivable
WE ARE HIRING AN ACCOUNTANT WITH 4 TO 5 YEARS OF EXPERIENCE FOR THE KONDWA OFFICE LOCATION.
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  • 1 - 2 yrs
  • 2.0 Lac/Yr
  • Bhosari MIDC Pune
Account Payable Account Receivable Tally ERP TDS Return Cash Flow Bank Reconciliation
Prepare balance sheets, profit and loss statements, and other financial reports. Accountant duties and responsibilities also include analyzing trends, costs, revenues, financial commitments, and obligations incurred to predict future revenues and expenses.
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Bank Reconciliation Account Payable Account Receivable Tally ERP GST Return Cash Flow
Post and process journal entriesUpdate accounts payable and receivablePrepare financial statements and reportsAssist with auditsMaintain ledgersProcess invoicesEnter dataAdminister payrollPrepare tax returnsAssist with financial analysis and forecasting
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  • 1 yrs
  • Jangali Maharaj Road Pune
Bank Reconciliation Balance Sheet Account Payable Account Receivable GST Cash Flow Tally ERP
Requirement for Accountant
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Accounts Assistant (1-5 Years)

Vijaya Management Services

Tally Bookkeeping Tally ERP General Ledger Accounting Cash Flow Tally GST
JR accountant - Exp 1+ years. GST filing, sale - purchase entry, reconciliation, store stock taking, other bank related workContact Person- Deepak - 7757087059ID- deepak.vijayamgmt@gmail.com
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Jobs by Popular Location

Office Accountant (Female Candidates Required)

Ravi Electricals and Electronics

Taxation Account Payable TDS GST Account Receivable Cash Flow Bank Reconciliation Tally ERP
Required Office Accountant for Long term
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Management Accountant Finance Analyst Finance Manager IFRS Budgeting & Forecasting Budgetary Analysis Balance Sheet Review Cash Flow
We are urgently hiring the Chartered Accountant having 3+years experience of Management Accounting & IFRS Reporting Manager for leading healthcare group for Mumbai location.Company DescriptionLading Health Group is a multinational healthcare company operating in 20+ African countries, the Middle East, Asia, the US, Canada and Australia. We provide integrated, innovative and holistic health solutionsRole DescriptionThe Management Accountant & IFRS Reporting Manager is engaged in financial analysis in such areas as forecasting, budgeting, engaging in cost reduction analysis, and reviewing operational performance. Individual should manage funds in such a manner as to maximize return on investment while minimizing risk, while also ensuring that an adequate control structure is in place over the transfer and investment of funds.Critical experience3-4 years experience as management accountantIFRS experience essential.Consolidation experience is preferredExperience in collating, preparing and interpreting reports, Gross profit margin analysis budgets, accounts, commentaries, and financial statements.Minimum Education: Chartered Accountant QualificationsChartered Accountant Analytical SkillsFinancial Statements, Financial Reporting, and Accounting expertiseStrong background in FinanceExperience with IFRS reporting standardsExcellent attention to detail and organizational skillsAbility to work in a fast-paced environment and meet deadlines
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Office Accountant (Female)

Sri Siddha Sanmarga

  • 2 - 5 yrs
  • 5.0 Lac/Yr
  • Pune
Tally ERP Zoho CRM Account Receivable Account Payable Cash Flow Bank Reconciliation Income Tax Audit Record Keeping
You will be responsible for maintaining proper and complete accounts of the Trust including other relevant Accounts of Associates. Handling of complete Cash & Bank accounts of the Trust and Associates, Directors accounts wherever applicable. Responsible for Maintaining all Banking accounts of the Trust, cheque books, deposit slips and counter-foils and reconciliation, visits to the banks as and when required. Responsible for Preparation of periodical stock and Book debts statements and submission to concerned banks for Credit Facilities availed by the Trust. Responsible for generating and obtaining all Sale and Purchase Bills, Delivery Challans, relative Logistical records, preparing vouchers, data entering in computer system and record keeping. Day-to-day periodical reconciliation of Cash and Bank Accounts, individual Ledger Accounts of receivables and payable. Organizing or developing regular Cash flow and fund flow, follow-up of receivables and Payables.
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