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ANALYST RTR VACANCY FOR CA INTER/CMA INTER AT PHILIPS


Philips India Limited is a subsidiary of Royal Philips of the Netherlands, a leading health technology company focused on improving people’s health and enabling better outcomes across the health continuum from healthy living and prevention, to diagnosis, treatment and home care. Philips leverages advanced technology, deep clinical, and consumer insights to deliver integrated solutions. The company is a leader in diagnostic imaging, image-guided Therapy, patient monitoring and health informatics, as well as in consumer health and home care.

VACANCY DETAILS :-

POST NAME - Analyst RTR
QUALIFICATION - CA Inter/CMA Inter
EXPERIENCE - 1 To 2 Years
LOCATION - Chennai

JOB DESCRIPTION :-

• Supports the reconciliation of bank statements by collecting and matching transactional data, helping to maintain accurate and up-to-date financial records.

• Provides clerical support during month-end and year-end close processes, including the preparation of journal entries and supporting documentation, working under general supervision.

• Aids in the preparation of internal financial reports by compiling necessary data from various sources, ensuring accuracy and completeness.

• Responds to routine accounting inquiries from internal teams, providing information or escalating issues as needed to ensure efficient operations.

• Collects and organizes receipts, invoices, and other financial documents to support the expense reporting process and ensure compliance with company policies.

• Assists in the preparation of account reconciliations by gathering relevant data, helping to identify discrepancies, and working with senior team members to resolve them.

• Supports the accounts receivable process by helping to prepare and send out invoices, following up on outstanding payments, and updating records accordingly.

• Populates financial spreadsheets with relevant data, supporting the accounting team in the preparation of budgets, forecasts, and other financial analyses.

• Supports the daily operations of the accounting department by performing general administrative tasks, such as data entry, photocopying, and distributing financial reports.

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