29 Account Reconciliation Excel Jobs in Navi Mumbai
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Accounts Executive-Navi Mumbai(Vashi) DC Consultants - Navi-Mumbai of TDS and GST only for working sheet Excel for MIS and other reportsEmail Writing Bank Reconciliation If you are interested in the same profile kindly REPLY to this mail with your latest cv 2.00 LPA To 2.60 LPA INR More than 30 days ago
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Senior (Finance) SAX India LLP - Mumbai, Maharashtra, India and bank reconciliations. Handling the accounts payable process. Reporting and account analysis. Adaptable and willing to learn new technologies. High attention to details. Able to work independently Yesterday
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Audit And GST Executive Bhauwala & Associates - Santacruz East, Mumbai/Bombay Book- Sound Knowledge of Tally and Advance Excel, Vlookup, Hlookup. Understanding of GST and TDS- Bank reconciliation, managing Reports, MIS, etc. Preparation & filing of TDS, GST Return ₹10,000 - ₹35,000 monthly 14 days ago
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Accounts Executive Landmark Insurance Brokers - Ghatkopar West, Mumbai accounts. 3. Excel Data Management: 1. Utilize Excel and other relevant tools for data entry, analysis, and reporting. 2. Maintain comprehensive and accurate financial records in Excel spreadsheets. 4 ₹20,000 - ₹30,000 /Month 24 days ago
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Account Audit Assistant Disha Skill Training Services - Ulhasnagar, IN JOB DESCRIPTION Posting journal entries GST/ TDS /IT Returns Filing Performing account reconciliations. Preparing IT Tax Returns. Assisting with Audit preparations. Skills- Accounting, Excel, IT 24 days ago
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ACCOUNTANT CHANAKYA STAFFINGS - Byculla, IN and performs reconciliations Qualities required Basic knowledge of GST, TDS & other accounting terms. Good command over MS-Excel & MS-Word Good understanding of accounting principles Basic knowledge of banking 10000 - 15000 per month More than 30 days ago
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Exec/Asst Manager-Banking Operations- Mumbai Corporate Chemistry - Mumbai, IN . Audit and Controls accountability. Collection accounts reconciliation Payout Validation and Processing Requirements: Basic knowledge about Mutual fund andBanking related activity good in reconcilation More than 30 days ago
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AM/DM-Banking Operations-AMC Mumbai Corporate Chemistry - Mumbai, IN . Audit and Controls accountability. Collection accounts reconciliation Payout V alidation and Processing Requirements: Basic knowledge about Mutual fund andBanking related activity good in reconcilation More than 30 days ago
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Dy. Manager/Manager-Accounts Receivable, Mumbai Corporate Chemistry - Mumbai, IN . Ensure there is NO gap between Cash collected vs. deposited aging above T+1 Responsible for 13 collection bank account reconciliation Bank charges validation and accounting. Preparation of Audit data 700000 - 1000000 per year More than 30 days ago
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SR ACCOUNT EXECUTIVE Tripoly - Thane, IN follow up for outstanding with client through email & calls Suppliers Reconciliation Preparing the Foreign Remittance Accounts Receivable Closing all the files before the departure date. Sending weekly 28 days ago
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