Department: Finance/Accounts
Job Type: Full-Time
Experience
- 1–3 years of experience in accounting or bank reconciliation.
- Preferred: Experience in cash/bank verification and audit support.
Qualification
- Bachelor’s degree in Commerce, Finance, or Accounting.
- Strong attention to detail and knowledge of accounting principles.
- Proficiency in MS Excel and tools like Tally, ERP.
Responsibilities and Requirements
- Verifying daily cash transactions and matching them with receipts and supporting documents.
- Cross-checking bank statements against internal financial records.
- Performing bank reconciliations and resolving any inconsistencies.
- Collaborating with departments/branches to clarify transactional issues.
- Assisting in the month-end and year-end closing process.
- Preparing reconciliation reports for internal reviews and audits.
- Monitoring and reporting any irregularities or suspicious financial activity