Description:
· Manage day-to-day financial transactions including vouchers, receipts, and payments. · Perform regular bank reconciliations, investigating and resolving discrepancies between company and bank records. · Ensure all reconciliations (bank, vendor, intercompany) are accurate and completed on time. · Assist & oversee payroll processes, disbursement and ensure statutory deductions are accurate and timely. · Handle employee final settlements including dues, benefits, and statutory deductions, ensuring timely processing. · Process and book …