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Della Resorts and Adventure
Job Description Capturing Accounting entries for cash (payment and receipt) and bank payment. Disbursement of vendors payment (PurchasesExpenses etc) through issuance of chequeNEFTRTG Reconciliation of bank account with bank statement on daily basis. Capturing accounting entries of purchases and expenses. Preparation monthly MIS reports and reporting partners Reconciliation of ledger. Must have experience in Tally ERP. Prepare balance sheet reconciliation Ensure accurate journal entries are processed monthly Assist with the review of Vendor Maintenance Continuously improve processes to minimize costs Assist in coaching and mentoring junior staff accountants and specialistsJob Expectations Proficiency with Tally, ERPs, word processing, and spreadsheets (MS Excel) required Proficiency in PeopleSoft and Excel preferred. Good knowledge of EnglishMinimum QualificationBachelor’s degree in accounting/finance or a related fieldMinimum Job Experience1 - 3 YearsReporting ToHODTravelNo Apply Now
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