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70 jobs found for Accounts Finanace

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  • Performing the accounting, reporting, planning Verification of Bank reconciliations Verification and Filing all the Statutory Returns MIS Preparation for various entities Audit co-ordination Ensuring timely Tax calculation and filing. Industry IT-Software / Software Services functional

  • Preparation of financial documents , handle matters related to taxes and financial reports ,make financial forecasting, work in close association with the auditors in order to predict the exact appending pattern of an organization. Industry Other functional Area Accounts / Finance / Tax ...

  • To verify the Branch Reconciliation Statements from branches and report on inoperative/non-matching accounts. To guide the branches in preparing Branch Reconciliation statements. To monitor inter-office transactions, prepare monthly feedback/reports. To reconcile the accounts module with books

  • To verify the Branch Reconciliation Statements from branches and report on inoperative/non-matching accounts. To guide the branches in preparing Branch Reconciliation statements. To monitor inter-office transactions, prepare monthly feedback/reports. To reconcile the accounts module with books

  • To verify the Branch Reconciliation Statements from branches and report on inoperative/non-matching accounts. To guide the branches in preparing Branch Reconciliation statements. To monitor inter-office transactions, prepare monthly feedback/reports. To reconcile the accounts module with books

  • To conduct periodical inspection of the branches. Physical verification of valuables. Verification of day to day transactions. Verification of Bank reconciliation, utilization of cheques and SD/GL statements. Reporting on anomalies and observations found during the period of audit. Verification of statutory registers and other records maintained by the branch. Candidates with M.Com with First Class or ...

  • To conduct periodical inspection of the branches. Physical verification of valuables. Verification of day to day transactions. Verification of Bank reconciliation, utilization of cheques and SD/GL statements. Reporting on anomalies and observations found during the period of audit. Verification of statutory registers and other records maintained by the branch. Candidates with M.Com with First Class or ...

  • To conduct periodical inspection of the branches. Physical verification of valuables. Verification of day to day transactions. Verification of Bank reconciliation, utilization of cheques and SD/GL statements. Reporting on anomalies and observations found during the period of audit. Verification of statutory registers and other records maintained by the branch. Candidates with M.Com with First Class or ...

  • To conduct periodical inspection of the branches. Physical verification of valuables. Verification of day to day transactions. Verification of Bank reconciliation, utilization of cheques and SD/GL statements. Reporting on anomalies and observations found during the period of audit. Verification of statutory registers and other records maintained by the branch. Candidates with M.Com with First Class or ...

  • To conduct periodical inspection of the branches. Physical verification of valuables. Verification of day to day transactions. Verification of Bank reconciliation, utilization of cheques and SD/GL statements. Reporting on anomalies and observations found during the period of audit. Verification of statutory registers and other records maintained by the branch. Candidates with M.Com with First Class or ...

  • To conduct periodical inspection of the branches. Physical verification of valuables. Verification of day to day transactions. Verification of Bank reconciliation, utilization of cheques and SD/GL statements. Reporting on anomalies and observations found during the period of audit. Verification of statutory registers and other records maintained by the branch. Candidates with M.Com with First Class or ...

  • To conduct periodical inspection of the branches. Physical verification of valuables. Verification of day to day transactions. Verfication of Bank reconciliation, utilization of cheques and SD/GL statements. Reporting on anomalies and observations found during the period of audit. Verification of statutory registers and other records maintained by the branch. Minimum Qualification should be MCom / MBA ...

  • To conduct periodical inspection of the branches. Physical verification of valuables. Verification of day to day transactions. Verfication of Bank reconciliation, utilization of cheques and SD/GL statements. Reporting on anomalies and observations found during the period of audit. Verification of statutory registers and other records maintained by the branch. Minimum Qualification should be MCom / MBA ...

  • To conduct periodical inspection of the branches. Physical verification of valuables. Verification of day to day transactions. Verfication of Bank reconciliation, utilization of cheques and SD/GL statements. Reporting on anomalies and observations found during the period of audit. Verification of statutory registers and other records maintained by the branch. Minimum Qualification should be MCom / MBA ...

  • To conduct periodical inspection of the branches. Physical verification of valuables. Verification of day to day transactions. Verfication of Bank reconciliation, utilization of cheques and SD/GL statements. Reporting on anomalies and observations found during the period of audit. Verification of statutory registers and other records maintained by the branch. Minimum Qualification should be MCom / MBA ...

  • To conduct periodical inspection of the branches. Physical verification of valuables. Verification of day to day transactions. Verfication of Bank reconciliation, utilization of cheques and SD/GL statements. Reporting on anomalies and observations found during the period of audit. Verification of statutory registers and other records maintained by the branch. Minimum Qualification should be MCom / MBA ...

  • To conduct periodical inspection of the branches. Physical verification of valuables. Verification of day to day transactions. Verfication of Bank reconciliation, utilization of cheques and SD/GL statements. Reporting on anomalies and observations found during the period of audit. Verification of statutory registers and other records maintained by the branch. Minimum Qualification should be MCom / MBA ...

  • To conduct periodical inspection of the branches. Physical verification of valuables. Verification of day to day transactions. Verfication of Bank reconciliation, utilization of cheques and SD/GL statements. Reporting on anomalies and observations found during the period of audit. Verification of statutory registers and other records maintained by the branch. Minimum Qualification should be MCom / MBA ...

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