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General Ledger Accounting Fresher Jobs in Pune

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Fresher - Opening For Account Assistant

Pacific Placements and Business Consultancy Pvt. Ltd.

  • 0 - 2 yrs
  • Baner Pune
Microsoft Excel Tally Bookkeeping Taxation TDS Bank Reconciliation Tally ERP General Ledger Accounting
As an Account Assistant, you will be responsible for assisting the accounting department with daily tasks and transactions. Your key responsibilities will include maintaining financial records, processing invoices, preparing financial reports, and reconciling accounts. Additionally, you will support the team with administrative tasks such as filing and data entry.The ideal candidate for this role should have a graduate degree in finance or accounting, with 0-2 years of experience in a similar role. You should have a strong attention to detail, be proficient in Microsoft Excel, and have excellent organizational skills. The ability to work well in a team and communicate effectively is also crucial for this position. Additionally, a basic understanding of accounting principles and knowledge of financial software is preferred. Overall, we are looking for a proactive and reliable individual who can contribute to the smooth operation of our accounting department.
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  • 0 - 3 yrs
  • 5.0 Lac/Yr
  • Pune
Accounting Software General Ledger Accounting General Ledger Account Payable
Looking for individuals with knowledge and experience in general ledger accounting and accounts payable
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Urgent Requirement For Account Assistant

Preferential Business Advisory Private Limited

  • 0 - 1 yrs
  • 1.8 Lac/Yr
  • Pune
Tally GST TDS Microsoft Excel Tally ERP General Ledger Accounting
Manage all accounting transactions. Prepare budget forecasts. Publish financial statements in time. Handle monthly, quarterly, and annual closings. Reconcile accounts payable and receivable. Ensure timely bank payments. Compute taxes and prepare tax returns. Manage balance sheets and profit/loss statements. Report on the companys financial health and liquidity. Audit financial transactions and documents. Reinforce financial data confidentiality and conduct database backups when necessary. Comply with financial policies and regulations
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