Job details No matching job preferences Salary ₹15,000 - ₹20,000 a month Job type Full-time Shift and schedule Day shift Benefits & Perks Provident Fund,
Job details No matching job preferences Salary From ₹10,000 a month Job type Full-time Regular / Permanent Shift and schedule Day shift Benefits & Perks
Looking for Accounts and Finance Manager Location :Mysore Exp: 8:15 Yrs Skills :Audit,Budgeting, Audit Control, Compliance,Taxation. Job Description: Roles and
Job details Salary ₹30,000 - ₹45,000 a month Benefits & Perks Provident Fund Job Type Full-time Regular / Permanent Qualifications - Sales coordinator: 1
Company: Shell Skills: Accounting, Business Analyst Experience: 5 + Years Education: High School/Secondary Location: Bengaluru, Karnataka, India What's the
Job details Salary ₹15,000 - ₹20,000 a month Benefits & Perks Provident Fund Job Type Full-time Qualifications - Bachelor's (Preferred) - Total work: 1
Job details Salary ₹18,000 - ₹23,000 a month Benefits & Perks Provident Fund, Health insurance Job Type Full-time Qualifications - Bachelor's (Preferred) -
Job details Salary ₹15,000 a month Benefits & Perks Provident Fund, Food provided Job Type Full-time Qualifications - Bachelor's (Preferred) - English
Job details Salary ₹8,086 - ₹20,000 a month Benefits & Perks Provident Fund Job Type Full-time Qualifications - Bachelor's (Preferred) - Total work: 3
Job details Salary ₹8,086 - ₹20,000 a month Benefits & Perks Provident Fund Job Type Full-time Qualifications - Bachelor's (Preferred) - Total work: 3
* Back office executives do not interact directly with clients but work behind the scenes to ensure the smooth running of the company * They perform key
What is Vyapar? Vyapar is a SaaS-based Startup Company located at HSR layout, Sector 1, Bangalore. Recently we have completed SERIES B funding of 200+ Cr where
Automotive Accountant Responsibilities - Consistently input daily financial transactions and accounts receivable data to finalize the posting process - Perform
This is a remote position. Responsibilities stylemargin: 0px; padding: 0px; list:style: outside none none; background:image: none: : Working closely with the
Should clearly work with investment team in reading and finalising the deal agreement. Prepare all the due diligence, audit reports and compliance reports
1. Maintaining books of accounts 2. GST Registration and Filing 3. e –TDS, EPT, ESI, GST Computation, filling and payment remittance on monthly & quarterly
Should maintain detailed books and records for investment funds and management company entities. Perform monthly consolidations, financial reporting, and