Key Responsibilities
- Maintain and update the Bank Book on a daily basis to ensure accurate financial records
- Prepare and reconcile daily bank statements, identifying and resolving any discrepancies.
- Ensure the Post-Dated Cheque (PDC) folder is updated regularly for proper tracking and control.
- Cheque deposit on day-to-day basis.
- Maintain and update the Collection File daily; ensure proper documentation and upload to the system.
- Coordinate with the Credit Control Team to follow up on outstanding payments and provide necessary payment details.
- Update the FIRC (Foreign Inward Remittance Certificate) folder on a monthly basis for compliance and record-keeping.
- Cash Flow statement
- TDS and Revenue reconciliation as per 26AS.
Preferred Education and Experience
- Semi-Qualified-Fresher
- 3-4 years’ experience in accounting background
- Good SAP or excel knowledge required