Accountant( Corporate Banking) (Female)

Jyoti Placement Services

Delhi

On-site

INR 200,000 - 250,000

Full time

14 days+
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Job summary

A recruitment firm in Delhi is seeking an experienced Accountant who will manage financial records for large clients or the bank. This role includes preparing financial statements, ensuring compliance with GAAP, and analyzing financial data to support strategic decisions. The ideal candidate should have 2-3 years of experience, strong skills in Tally, and knowledge of budgeting and forecasting tools. This position offers a salary between 2 Lac and 2 Lac 50 Thousand P.A.

Qualifications

  • 2-3 years of experience in accounting or financial management.
  • Strong knowledge of GAAP and IFRS standards.
  • Ability to prepare financial statements and reports accurately.

Responsibilities

  • Prepare and publish timely financial statements, balance sheets, P&L, and cash flow statements.
  • Record, categorize, and reconcile all financial transactions (sales, expenses, payments).
  • Assist in budget preparation, financial forecasts, and long-term strategies.
  • Ensure compliance with GAAP, tax laws, and internal financial policies.
  • Analyze financial data, identify risks, and support profitability.
  • Coordinate with internal/external auditors in audit processes.

Skills

Tally
Balance Sheet
Cash Flow
GST
Book Keeping
Bank Reconciliation
Payment Flow

Job description

Job openings for Accountant in Dwarka Sector 8 Delhi

We are looking for a candidate who will manage financial records for large clients (corporates) or the bank itself, focusing on accuracy, compliance (GAAP/IFRS), reporting (P&L, Balance Sheet), cash flow, budgeting, tax, and controls, requiring strong GAAP, analysis, and software skills to support strategic financial decisions for wealth/growth. They ensure financial health, liquidity, and regulatory adherence for both the bank and its corporate customers, working with loans, investments, and financial planning.

Core Responsibilities
  • Financial Reporting: Prepare & publish timely financial statements, balance sheets, P&L, and cash flow statements.
  • Transaction Management: Record, categorize, and reconcile all financial transactions (sales, expenses, payments).
  • Budgeting & Forecasting: Assist in budget prep, financial forecasts, and long-term strategies.
  • Compliance & Controls: Ensure adherence to GAAP, tax laws, and internal financial policies; maintain security.
  • Analysis & Advice: Analyze financial data, identify risks, suggest cost reductions, and support profitability.
  • Auditing: Cooperate with internal/external auditors and coordinate audit processes.

Experience 2 - 3 Years

Salary 2 Lac To 2 Lac 50 Thousand P.A.

Industry Other

Qualification

Key Skills: Tally Balance Sheet Cash Flow GST Book Keeping Bank Reconciliation Payment Flow Up Create Ad-hoc Reports Of Sale and Purchase Prepare Tax Documents Preparing Of Salary and Process For The Same Site Coordinator Document Review

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