Hemal Parikh & Co. LLP
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Working knowledge of TDS Return filing Service Tax and the all the account related compliance Performing tests to check financial information and systemsadvising clients on tax planning within
To establish and maintain fiscal files and records to document transactionsTo maintain and reconcile cash financial accountsTo maintain spreadsheets for monitoring and analyzing accounting data and
Match purchase orders to invoices and enter invoices into computer Reconcile processed work by verifying entries and comparing system reports to balances Charge ex
Prepare monthly material consumption and requirement reports Processing of purchase bill for payment To maintain the stores inventory level in view of monthly consumption
To source open market business achieve the targets assigned Aware of the products being offered by the company understand competition offering handle customer objection
Open Positions 1 Associate M A Strategy 2 3 years 2 Consultant M A Strategy 3 5 Years 3 AM M A S
Expereince 0f 2 4 yearsShould be Good in Accounts upto Finalisation Taxation filing of the GSt Returns Tally ERPKnowledge of SAP B1 Will be preferred
Urg Opening for Female C A Intermediate C A for Leading Firm Candidate should have good knowledge of Accounts and Auditing all things
Skills Accounts Executive Education VAT TDS Service tax Accounting ITR Role Book Keeper Accounts Assistant Experience 0 50 Years
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
Credit Control assessment of customers Receivables Management Close coordination with Sales Marketing team for collection of Debtors Formulation of various incentives schemes f
Urgently Require 12th pass Under Graduates and Graduates to work in finance department of Banks in Delhi Noida Faridabad Ghaziabad and Gurgaon Only computer wo
Required a Accounts Executive Key roles and responsibilities Booking of daily responsibilitiesBank EntriesReconciliation of Bank as well as cr
Management and reconciliation of the bank and cash accounts preparation of the weekly cash counts and monthly financial records including cashbooks ensuring financial and resource accountability and effectiv