Job description
Role & responsibilities:
- Monthly closing of Books of Accounts
- Preparation of various Reconciliation statements viz;
1. Non broking Income Reco
2. Calculation of Franchisee Brokerage Sharing & related
3. Insurance Income Reco
- Assisting in Internal & Statutory Audits
- To provide support in Exchange Compliances, Audit and Inspection
- To support in Banking Functions and also co-ordinate with bank for banking activities
- To support tax and company law matters
JOB IS EXPIRED.