Related skills
payments excel treasury trust_accounts๐ Description
- Prepare daily and month-end journal entries and account reconciliations.
- Process accounts payable and ensure timely vendor payments.
- Assist with treasury activities, including cash reconciliations and wires/ACH.
- Manage, reconcile, and maintain records of Trust account balances.
- Support best-practice improvements to simplify and scale accounting.
- Location: candidates must be based in India to be considered.
๐ฏ Requirements
- Strong analytical and communication skills.
- Proficiency in Microsoft Excel (required).
- Familiarity with Business Central is a plus.
- CA fresher with strong accounting/finance background.
- Highly organized, able to manage multiple priorities with urgency.
- Capable of working independently with minimal oversight.
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