Female Computer Accountant to work under a Senior Accountant.Skills: Must have strong knowledge of Excel; Busy software knowledge is optional.Timing: 11:00 AM to 7:30 PM
Microsoft Excel Tally AccountantAccounts Executive
Hiring for 1 Accounts Associate Job in Kanpur, Uttar Pradesh, Microsoft Excel, Tally Accountant, for Freshers, Required Educational Qualification is : Other Bachelor Degree with Good knowledge in Microsoft Excel, Tally Accountant etc.
administrative assistant,holding account of event organizers, communicate with all associate members, manage all working groups, verification of every day closing report submitted by all working groups & members.
Accounting Microsoft OfficeExcelWordComputer Operating
Hiring for 11 Office Assistant Jobs in Kidwai Nagar, Kanpur, Uttar Pradesh with minimum 2 Years Experience,Required Educational Qualification is : Vocational Course, Other Bachelor Degree with Good knowledge in Accounting,Microsoft Office,Excel,Word,Computer Operating etc.
Tally FinanceIndirect TaxationAuditingService TaxTDSFinancial AccountingSEMI CA
Prepare accurate, timely financial statements in accordance with our established schedule and with input from the rest of the accounting department. Conduct monthly and quarterly account reconciliations to ensure accurate reporting and ledger maintenance. Analyze financial statements for discrepancies and other issues that should be brought to the CFOs attention. Review all inter-company transactions and generate invoices as necessary. Reconcile balance sheet accounts. Delegate financial responsibilities to accounting team. Coordinate semi-annual audits and assist CFO with conducting audits. Conduct regular ledger maintenance.
Tally FinanceIndirect TaxationAuditingService TaxTDSFinancial AccountingSEMI CA
Prepare accurate, timely financial statements in accordance with our established schedule and with input from the rest of the accounting department. Conduct monthly and quarterly account reconciliations to ensure accurate reporting and ledger maintenance. Analyze financial statements for discrepancies and other issues that should be brought to the CFOs attention. Review all inter-company transactions and generate invoices as necessary. Reconcile balance sheet accounts. Delegate financial responsibilities to accounting team. Coordinate semi-annual audits and assist CFO with conducting audits. Conduct regular ledger maintenance.