Key duties and responsibilities
Receipt of required data for the preparation of Book-Keeping and periodic primary
statements, namely – P&L account, Balance sheet, Cash-flows & notes as
Analysis of bank transactions and processing them on accounting platform/excel.
Analysis and processing of invoices, expenses, and other transactions.
Clear understanding of accrued & prepaid expenses, FAR & Revaluations.
Understanding of cash, capital & Dividend movements
Ability to reconcile AP & AR (Inter-company transactions)
Exposure to Trial balance finalization.
Preparation & reporting of periodic management accounts in multiple GAAPs,
Exposure to payroll accounting, posting journal entries & VAT/GST
Ability to understand and resolve queries raised by Onshore, Client, Auditor and