L&T Geostructure
Location
Mumbai | India
Job description
Job Description.
1. Data Reconciliation of Vendors .
2. Tracking payments to internal and external stakeholders .
3. Reconcile accounts payable and receivable .
4. Audit financial transactions and documents.
5. Reinforce financial data confidentiality and conduct database backups when necessary.
6. Creating weekly or monthly reconciliation error reports and coordinating with the correction team to fix errors.
7. Reconciling supplier statements .
8. Manage and maintain the company's tax database.
9. Examining the accuracy of financial documents and where they stand with laws and regulations.
10. Finding and addressing any discrepancy in accounting.
11. Working with external auditors.
12. All accounting related work.
13. Prepare budget forecasts.
14. Analyze financial information and summarize financial status.
Job tags
Salary