https://bayt.page.link/UGW78mh69qekJRjM9
Create a job alert for similar positions

Job Description

• Perform daily, monthly, and yearly reconciliations of financial data, such as bank statements, general ledger accounts, and transaction records.

• Identify and investigate variances, discrepancies, or irregularities in financial data through thorough analysis and research and assisting in resolving them.

• Discuss all such deviations to understand the root causes & provide suitable control improvements to avoid reoccurrence.

• Manage reconciliation of POS and on-line transactions impacting both bank and control accounts.

• Daily cash reconciliation.

• Conducting Stock verification as per requirement of the company.

• Prepare detailed audit checklist as per audit scope to ensure effective audit coverage.

• Run a Pre-check Mismatch report on regular basis to identify the mismatches and ensure all the missing transactions are recorded before the Month End Close

• Conducting audits, including fieldwork and analysis of financial and operational data

• Timely preparation of daily, weekly and monthly MIS

• Checking of quarterly management accounts and monthly profit and loss accounts

• Monthly closings and preparation of monthly financial statements.

• Any other task assigned from time to time by the Management.


You have reached your limit of 15 Job Alerts. To create a new Job Alert, delete one of your existing Job Alerts first.
Similar jobs alert created successfully. You can manage alerts in settings.
Similar jobs alert disabled successfully. You can manage alerts in settings.