Opportunity Description
Job Responsibilities
- Perform reconciliations of bank statements, and ledgers.
- Monthly closing of Accruals and prepayment.
- Preparation of audit related breakups of ledger.
- Filling of vouchers and record keeping.
- Any other related task assigned by the supervisor/manager.
Requirements
- CA finalist with articles completed
- Knowledge of WHT deduction, deposit and reconciliations with ledgers and banks.
- Knowledge of e-filling of WHT along with rules and dates of filling.
Benefits
- Challenging environment
- Open door policy
- Respect, dignity, and protection
- Training, mentoring, and coaching in soft and hard skills to transform you as a future leader
- Representation in external forums (University lecturers, advisory boards, etc.)
- Excellent rewards for out of the box thinker, doers, and implementers
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