Key Responsibilities:
Perform bank reconciliations.
Handle data entry and maintain accurate financial records.
Identify and rectify accounting errors.
Reconcile and verify Accounts Payable (AP) and Accounts Receivable (AR) statements.
Ensure all financial records are accurate and properly matched.
Requirements:
Previous experience in accounting or finance.
Good knowledge of bank reconciliation, AP/AR reconciliation, and accounting procedures.
Strong attention to detail and accuracy.
Proficiency in Microsoft Excel and accounting software will be an advantage.
Need immediately joining
Job Type: Part-Time (Project-Based)
Project Duration: 2–3 Months