DSquare Technologies
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Corporate Finance Developing Standards Quality Management Problem Solving Process Improvement Cost Accounting Statistical Analysis Financial Planning and Strategy Reporting Research Results Requiremen
Implement and maintain the financial rules procedures records to meet the legal tax requirements Preparations of budgets periodical variance analysis periodical repo
Prepare reconciliation of accounts basis General Ledger Bank statements and Source systems documents Update reconciliation tool Resolve reconciled aged items Prepare develop supporting documentation on material varia
Total exp min 2 year salary package 3L Accountant executive Industry Internet Ecommers handling Bill Creation general accounting book keeping payable and receivable handling
Relevant experience for 1 to 2 years can be looked at Also you can source CV s where candidates have credit experience in Working Capital LAP Home Loans as well Billing Credi
Candidate should have experience of 3 4yrs in accounts and finalization of balance sheet Should be Bcom Graduate from Delhi University full time Should have good communications in English Should have knowledge of mont
Experience 0 3 years Skills Chartered Accountant 3 CA fresher experienced candidates vacancies at an Accounts Management Services Provider
ARTICLE CLERK REQUIRED FOR TAXATION GST TAX AUDIT CORPORATE TAXATION ROC PROFESSION TAX TDS ETC
Managing Accounting team and monitoring their activities Managing accounting operations account report and reconciliations Executed accounts receivable payable reporting reconciliation Review of Bank Payments Reconciliat
The responsibilities of a Manager will include Lead engagement teams executing Operational Transaction Services which support key decision makers in developing and exec
Minimum 1 year of relevant experience in Accountant Accounts Reconciliation Capital markets Mutual funds Derivatives Equities Financial Analyst Fixed income Payable Receivable Or 1 year of experience
Prepares asset liability and capital account entries by compiling and analyzing account information Documents financial transactions by entering account information
Create project accounts in the accounting systemMaintain project related records including contracts and change ordersAuthorize access to project accountsAuthorize the transfer of expenses into and out of project related acc
Prepare a list of deliverables from various fund documents and keep a track Correspondence with investors Secretarial and coordination with IC members meetings a