Hayat Placement Services
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Candidates should Expert in Tally ERP Working knowledge of GST TDS and Balancesheet Good Communication Skill Must have min 1 2 Years of veteran experience Walk in for interview on saturday 28 09 2019
Job description Account Assistance 1 General ledger accounting 2 Regular scrutinize of ledger trail balance 3 Preparation of Bank Reconciliation and Debtors Creditors Reconciliation 5 Responsible for handling
To review vendor invoices fuel vendors Uniform washing and repair Visiting card vendor Photocopier Pest control etc 2 To handle company mobile bills landline bills and reimbur
Prepares asset liability and capital account entries by compiling and analyzing account information Documents financial transactions by entering account information
Post Finance Qualification Graduate 12th MBAExperience 3 to 8 Years Or Above Salary as per Industry Skill Should be Good
Experience 2 7 years Skills Audit There are certain requirements for semi qualified CAs and Qualified CAs for a few CA firms clients Th
ROLES AND RESPONSIBILITIES OF ACCOUNTS PERSON Would be responsible for accounts finance banking relationships taxation all statutory compliances and general administ
We have an urgent opening for Accounts Executive Candidate should have experience of 3 4yrs in accounts and finalization of balance sheet Should be Bcom Graduate
Responsibilities To be a part of the Accounts team responsible for maintaining a well organized and accurate Accounting function To manage day to day operations o
Following up with Customers Sales personnel for outstanding collections Doing customer irreconcilability solving disputes Passing receipts of collection done
Prepare monthly material consumption and requirement reports Processing of purchase bill for payment To maintain the stores inventory level in view of monthly consumption
Checking arithmetical accuracy date quality and receive stamp approval on the invoices Tally and receive total invoices and reconciliation of outstanding with total payable balance Collects and verifies daily all Cashi
Reconciliation of Banks books of accounts of related activities Maintaining statutory books of accounts Ledger Trial balance P L A c Balance sheet Reconciliation of financial