Accountant
NoidaValue For Sellers Private Limited
...and payment follow-ups 3. Bank reconciliation and cash book maintenance 4. Assist in GST data preparation and coordination with the CA 5. Maintain vendor & client accounts 6. Keep proper records of receipts, payments, and expenses 7. Support monthly closing and basic financial reports 8. Coordinate with internal teams for [...]
Category Banking, Insurance, Finance & Accountancy