Finance & Accounts and Banking
Fresher Can Apply as a Trainee
Position 1: SR ACCOUNTANT / ACCOUNTS ASST MANAGER
GST & Financial Accounting Knowledge Must
1. Maintaining and Reconciliation of daybook, employees, vendors and contractors account ledgers.
2. Preparation of GSTR 1, GSTR 2, AND GSTR - 2B
3. Calculation of Monthly Sale Tax/ GST Detail and TDS Return
4. Handling of Staff salary, muster roll payment, vendor and contractor payment.
5. Assist in preparation of the tax returns, audit process
6. Prepares and records asset, liability, revenue, and expenses entries by compiling and analyzing account information.
7. Maintains and balances subsidiary accounts by verifying, allocating, posting, reconciling transactions; resolving discrepancies.
8. Maintains general ledger by transferring subsidiary accounts; preparing a trial balance; reconciling entries.
9. Summarizes financial status by collecting information; preparing balance sheet, profit and loss, and other statements.
10.Handling ledger accounts and keeping the check for any invoices or payments
11. Managed vendor accounts, generating cheque on demand.To handle the day to day accounting and taxation work.
Position 2 Accounts & Finance Dept - Accountant | Sr. Accounts Executive
Full Knowledge of the Tally ERP-9 and MS Excel is must.
To handle the TDS and Tax Returns. To handle the ledger scrutiny and bank reconciliations.
Minimum 0 to 5 years experience in the accounting field & Tally ERP
Responsible for overall Finance and Accounts Function including accounts finalization, taxation, audit and related regulatory compliance.
Oversight of Financial Operations, Internal Controls and Co-ordination of all Financial and Internal/External audits
Experience in Tally ERP-9 & Online Returns.
Calculating and checking to make sure payments, amounts and records are correct.
Hands on Account Receivable/Account Payable & Bank Reconciliations.
Monitor & Ensure implementation of the company internal controls
Payment Control & Processing
Make entries of the invoices.
Good Communication Skills
Knowledge of Excel is must.
1. Provide financial data to finance and operating teams in an effort to drive growth
2 Financial Analyst will be Providing necessary analytics to highlight key business performance drivers; Identifying risks and opportunities throughout the quarter and developing processes to mitigate risks while capitalizing on opportunities
3. Financial Analyst will be Consolidating actual operating performance and reporting results
4. Financial Analyst will be Working with Finance Managers and operations leaders to drive opportunities for improvement in variable cost, base cost, and material variance and/or revenues where possible
5. Financial Analyst will be Participate in simplification projects that will facilitate and increase capacity for value-added financial analysis
6. Financial Analyst will be Working in teams that handle pre/post settlement support, inter system reconciliation, document risk review, reference data management and portfolio reconciliations.
7. Financial Analyst will be Cataloging (categorizing) contracts and deals of derivative trades of our clients
8. Financial Analyst will be doing Reconciliation reports, preparation of reports using MS Excel, auditing
Skill Set Required:
- Demonstrated ability to learn new technology quickly and effectively for maximum productivity.
- Strong quantitative and qualitative analytical skills, including excellent excel spreadsheet s
. Ability to develop macros will be an advantage.
- Keen to learn, resourceful and passionate about contributing to Treasury and its clients.
- Quick learner with high level of initiative, drive and attention to details.
- Proven problem-solving skills with capacity to multi-task, deliver high quality results and respond quickly and effectively to requests.
- Excellent communication and presentation skills - both verbal and written.
- Diplomacy and strong interpersonal skills with strong commitment to work in a respectful, team-oriented and multi-cultural work environment.
- Excellent analytical and, web researching skills
- Strong financial and business analysis skills
- Proficiency in working on databases
- Excellent ppt and excel skills
- SAP Financial / SAP FICO
CALL AZRA 9036416000 HIRING FOR DAY SHIFT SUN FIXED OFF CTC UPTO 26K+60000 INCENTIVES
1.Responsible for managing existing HNI Current account base of the branch with a book size of 30 crs. Cross sell assets (Predominantly commercial assets ) and retail assets. 2.Generate Trade and FX revenue through deepening and new base.
The candidate should build a good relationship with the existing banking customers, and they are responsible for cross selling and up selling all three bank products, should be able to acquire new clients also.
To handle customer service requirements like account opening, DMAT account opening, grievances, liability product selling, and liability on product features, Cheque book insurance.
Quality acquisition of casa/ Current Account / Saving Account
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