Job Location: Ahmedabad/Mumbai/Delhi
Total 20+ Vacancy
Job Description:
- Working knowledge of UK year end accounts process – Opening balance adjustment, Bank/Credit card reconciliation, VAT/PAYE reconciliation, HP/Bank loan reconciliation, Director account
- Working knowledge of gathering, organizing, formatting and preparing financial data in spreadsheets or specialized software like Mercia
- Working knowledge of gathering, organizing, formatting and preparing financial data in spreadsheets or specialized software like Mercia
- Analyzing the cash flows and balance sheets of a firm
- Measuring and communicating the levels of financial risk taken on by an organization
- Studying and improving the workflows for reporting and management of the finances of a firm
- Ensuring the organization implements best practices in creating, storing and accessing financial information
- Creating reports for management, or as part of independent auditing teams
- Helping management and organizational leadership understand financial risks or benefits of certain financial decisions of a firm
- Good understanding of accounting and financial controls in and around accounting systems·
- Examining records to ensure compliance with laws and regulations
- Creating detailed reports on audit findings
- Drafting asset utilization reports and audit results for management
- Excellent English written and verbal communication
Job Timing: – 10am to 7.15pm (Monday-Friday)
Qualification: – ACCA/CA/CMA/Inter CA/ACCA Pursing/M.com/ B.Com
Benefits: – Medical insurance, Bonus if applicable, PF if applicable