Accountant
Updated: May 12, 2024 01:23 PM GMT
Sri Siddha Sanmarga
Baramati, Maharashtra- You will be responsible for maintaining proper and complete accounts of the Trust including
other relevant Accounts of Associates.
- Handling of complete Cash & Bank accounts of the Trust and Associates, Directors accounts
wherever applicable.
- Responsible for Maintaining all Banking accounts of the Trust, cheque books, deposit slips and
counter-foils and reconciliation, visits to the banks as and when required.
- Responsible for Preparation of periodical stock and Book debts statements and submission to
concerned banks for Credit Facilities availed by the Trust.
- Responsible for generating and obtaining all Sale and Purchase Bills, Delivery Challans, relative
Logistical records, preparing vouchers, data entering in computer system and record keeping.
- Day-to-day periodical reconciliation of Cash and Bank Accounts, individual Ledger Accounts of
receivables and payable.
- Organizing or developing regular Cash flow and fund flow, follow-up of receivables and
Payables. More Detail
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