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Executive/ Senior Executive, Finance & Accounts

100% Export Oriented Group of Companies

United Kingdom

On-site

GBP 60,000 - 80,000

Full time

2 days ago
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Job description
  • Manage day-to-day accounting activities, including vouchers, ledger posting, and bank/cash transactions.
  • Maintain and update cash books, ensuring accuracy and completeness of records.
  • Monitor and manage cash balances to ensure sufficient liquidity as per budget and operational needs.
  • Ensure the recording of all purchases and relevant expenses.
  • Ensure bank reconciliations to account between bank statements and company records.
  • Ensure compliance with VAT rules, tax deductions at source, and other tax requirements.
  • Ensuring reconciliation of ledger and confirmation of balance.
  • Ensuring timely data entry in the accounting software (TALLY).
  • Prepare different kinds of financial reports/information related with day-to-day business transaction.
  • Any other responsibilities assigned by the top management.
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