Responsibilities:
What You’ll Do
Perform month end close tasks for various clients
Maintaining financial reports, records, and general ledger accounts
Performing monthly balance sheet reconciliations
Record monthly journal entries for various clients
Reconcile general ledger accounts for various clients on a monthly basis
Generate monthly financial statements for various clients
Assisting the accounting supervisor as needed.
Calculate depreciation and amortization using fixed asset software program
Provide optimum client service in a timely manner while meeting client deadlines
Provide timely responses to internal and external requests
Responsible to manage accounts payable
What We Seek
Degree in Accounting or Finance required
Minimum of 2 years advanced, hands-on full cycle accounting experience including financial statement preparation
Experience in QuickBooks accounting software is preferred
Experience in Microsoft Office package is required.
Beginning level Excel skills are required
Strong ability to plan and organize work to manage juggling multiple engagements and deadlines
Organized, efficient, proactive, detail oriented and meticulous in caring about the accuracy of the information compiled
Excellent written and oral communications skills are a must
Ability to work overtime as required throughout the year
Qualifications:
B.Com / M.Com / MBA Finance / CA Inter /CA – Freshers / Experienced