Specialist cash accountant

4 - 8 years

9.0 - 12.0 Lacs P.A.

Gurugram

Posted:3 weeks ago| Platform: Naukri logo

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Skills Required

Us Gaap AccountingCash accountingGeneral LedgerJournal EntriesBank ReconciliationAccounts ReconciliationGl Accounting

Work Mode

Work from Office

Job Type

Full Time

Job Description

Perform daily reconciliation of cash receipts and payments from bank accounts to the sub-ledger and General Ledger. Identify and monitor open items in the bank reconciliation; ensure timely resolution by notifying the appropriate team members. Maintain and publish an open items tracker, coordinating the closure of outstanding reconciliation issues. Conduct monthly cash reconciliations in preparation for audit reviews. Reconcile weekly/monthly vendor deposits, including advances and RNI (Received Not Invoiced) balances. Provide support for audit-related requests, such as supplying P21 screenshots, bank statements, and relevant documentation. Maintain an up-to-date register of vendor deposits for audit and compliance purposes. Prepare and deliver financial reports as requested by internal and external stakeholders. Offer accounting support services to affiliated entities. Ensure the accuracy, consistency, and timeliness of all financial data and reporting. Ensure compliance with all statutory and legal audit requirements within prescribed timelines Preferred candidate profile

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