522 Reconciliation Jobs in Janakpuri - page 2
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Executive / Sr. Ex. Account Payable Avaada Group - Noida, Uttar Pradesh, India activities Perform daily internal audit to ensure all Invoices / queries are balanced as per the guidelines Involved in Month end close and Reconciliation of stock accounts Qualifications Education: Graduate 2 days ago
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Executive / Sr. Ex. Account Receivable Avaada Group - Noida, Uttar Pradesh, India the debit note from company with proper control and authentication. Prepare the reconciliation of sales with company wise as well on consolidated level and match with the Trial balance of the companies 2 days ago
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Senior accountant Naukripay - Delhi, India invoices Perform bank reconciliations Processing and reconciling of Petty Cash and cash control accounts Keeping of a fixed asset register General journals e.g. depreciation, provisions, interest, . Benefits 30000 to 50000 4 days ago
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Deputy Manager/ Manager- Finance & Accounts Acumen (Part of Sannam S4 Group) - Delhi, India and reconciliation between affiliated entities. • Maintain clear documentation of inter-company agreements and transactions for audit purposes. • Monitor cash flow projections and manage day-to-day cash requirements 11 days ago
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Senior Accountant SSSi Tutoring Service - Noida, Uttar Pradesh, India Return (Number of Accounts) 3. Budget Forecasting 4. Sales Verification 5. Reconciliation and Management of Rent Received 6. Petty Cash Handling 7. Payment Verification (Number of Accounts) 8. Tax 2 days ago
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Account Assistant Recruitingxpert.Com - Karol Bagh, New Delhi Enter vendor bills and create client invoices (A/P, A/R) and payments Owner Disbursement, Tenant Management receivables, and Vendor Management payables. Monthly Bank Reconciliations of Banks ₹15,000 - ₹18,000 monthly 5 days ago
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Accountant NextBigE - Noida, Uttar Pradesh, India , Zohobooks, MS Excel The ideal candidate will be involved with preparing financial reports and statements, bank reconciliations, and conducting cyclical audits. Moreover, the candidate must have strong 2 days ago
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Senior Manager Finance Account Equitane - Noida, Uttar Pradesh, India with existing SOPs or design new ones as required. Asset Management: Oversee asset capitalizations, vendor/customer reconciliations, LCs/BGs management, and control over prepaid and expense payable GLs. Expense 4 days ago
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Finance & Accounting Internship in Multiple locations at BearHugs BearHugs - Delhi any discrepancies or issues related to POs and invoices. 9 Documentation and Record Keeping. 10 Monthly Reconciliation of purchase order Received and invoice raised. 11. Monthly reconciliation of remittances received INR 10000 per month 5 days ago
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Finance Leader-Everest -Delhi Ingersoll Rand EMEIA Compression Systems - Delhi, India forecasting Finance business partner to the managing directors Balance sheet management and controls, including reconciliation of all balance sheet accounts Management of ledgers within the accounting system 14 days ago
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