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Junior Accounts Executive

3-5 Years

This job is no longer accepting applications

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  • Posted 26 months ago
  • Over 100 applicants

Job Description

We are seeking a highly motivated and detail-oriented Financial Strategist and Reporting Analyst to join our team. The ideal candidate will play a crucial role in developing financial strategies for our organization while providing regular financial reporting to support informed decision-making. This role demands a strong accounting background, future forecasting skills, and a willingness to work in a fast-paced environment. If you are passionate about finance, possess excellent communication skills, and are eager to learn and adapt to the latest technologies, we encourage you to apply.

Skills and Qualifications:

  • Strong Accounting Background & Future Forecasting
  • Excellent Communication
  • Ability to thrive in a fast turnaround environment
  • Proficiency in handling large amounts of data
  • Understanding of Accounting Concepts, TDS, and GST concepts
  • Flexibility to work with different clients and industries, with a commitment to meeting timelines
  • Familiarity with computer applications, including Excel, Word, and Tally
  • Proficiency in English communication and the ability to effectively communicate with teams and clients
  • Experience with TDS, GST Working, Compliances & Filing
  • Experience in passing accounting entries for expenses, including proper TDS deduction and GST compliance
  • Experience in reviewing invoices and obtaining management approval
  • Timely payment of invoices and keeping management informed about pending payments
  • Proactive management of accounting, preparation of MIS reports, and performing reconciliations
Responsibilities:

  • Control Sales Ledger: Manage daily invoicing, Debtors, AR Days, and Cash Collection
  • Control Purchase Ledger: Handle vendor payments and perform statement reconciliation
  • Manage foreign currency payments
  • Perform bank account reconciliations
  • Oversee currency management
  • Prepare monthly VAT returns
  • Create journal entries
  • Conduct balance sheet reconciliations
  • Manage accruals and prepayments
  • Process monthly payroll
  • Administer the Company Pension Scheme
  • Prepare monthly cash flow for the Group and weekly cash flow reports for local Management
  • Take ownership of operational activities within the Finance Department
  • Manage the audit function, collaborating closely with our group accountants
  • Prepare monthly Management Accounts and Reports for the Management team

About Company

DreamsPlus is a Pioneer in IT Training & Certification. We offer online training and consulting solutions globally.

Job ID: 66765001

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