Accounts Executive In Jes Group
CurrentBank Reconciliation.• Passing GL to GL Entry via FB50.• Prepaid Entries and their treatment.• Prepare Monthly Accruals.• Prepare Audit Schedules.• GL Clearing by F-03.• Reconciliation of GST Ledger• Participation in P&L & B/S Activities.• Prepare Cost Center Report• Various MIS Reports as & when required.