Account Executive

Aertrip India Limited

Mumbai

On-site

INR 400,000 - 600,000

Full time

14 days+

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Job summary

Aertrip India Limited is seeking an Accounts Executive in Mumbai with 2–5 years of experience in accounting and financial reporting. The candidate will prepare balance sheets, cash flow statements, and ensure accuracy in financial records. Strong knowledge of journal entries and reconciliations is essential. Proficiency in MS Excel and accounting software (Tally/ERP preferred) is required. Ideal for detail-oriented professionals looking to contribute to financial operations.

Qualifications

  • 2–5 years of relevant accounting experience.
  • Strong knowledge of financial statements preparation.
  • Understanding of financial compliance and reconciliation processes.

Responsibilities

  • Prepare and finalize balance sheets and cash flow statements.
  • Verify journal entries and ledger postings.
  • Conduct bank reconciliations.
  • Assist in financial reporting and audits.
  • Monitor cash flow and support financial planning.

Skills

Financial reporting
Accounting operations
Journal entries
Ledger management
Cash flow management
MS Excel
Analytical skills
Problem-solving skills

Tools

Tally/ERP

Job description

Job Title: Accounts Executive / Accountant
Job Summary

We are looking for a detail-oriented Accounts Executive with 2–5 years of experience in financial reporting and accounting operations. The ideal candidate should have hands‑on experience in preparing Balance Sheets, Cash Flow Statements, Profit & Loss (P&L) accounts, and passing accurate journal entries. Strong knowledge of financial compliance and reconciliation processes is essential.

Key Responsibilities

Prepare and finalize Balance Sheet, Cash Flow Statement, and Profit & Loss (P&L) Statement.

Pass and verify journal entries, ledger postings, and accounting adjustments.

Maintain and reconcile general ledger accounts.

Conduct bank reconciliations and ensure timely closure of monthly accounts.

Assist in financial reporting, audits, and statutory compliance.

Monitor cash flow and support financial planning activities.

Ensure accuracy in financial records and documentation.

Coordinate with internal teams for billing, invoicing, and reconciliations.

Support monthly, quarterly, and annual financial closing processes.

Required Skills & Qualifications

2–5 years of relevant accounting experience.

Strong knowledge of financial statements preparation and accounting principles.

Hands‑on experience in journal entries, ledger management, and reconciliations.

Understanding of cash flow management and financial analysis.

Proficiency in MS Excel and accounting software (Tally/ERP preferred).

Good analytical and problem‑solving skills.

Strong attention to detail and compliance awareness.

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