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job details

summary

    job details
    • Preparation of Financial statements, including balance sheet, statements of profit and Loss and supporting Notes to Accounts
    • Maintaining ledgers for Fixed assets & leases
    • Perform financial statement variance analysis and explanation (actuals vs. forecast, period-over-period actuals)
    • Perform account reconciliations and detailed scrutiny of all items lying in the account
    • Prepare documentation to support external and internal audits
    • Ensure compliance with applicable policies, contracts, and regulations (including country specific)
    • Close of monthly Finance books which include accrual preparation, prepaid amortization & comprehensive Profit and Loss analysis
    • Prepare journal entries and reviews accounting classifications in accordance with generally accepted accounting principles
    • Preparation of Bank reconciliation statements
    • Preparation and presentation of Monthly MIS, Budgets, Cash flows etc
    • Handling direct & indirect tax matters up to assessment level directly
    • Involvement in implementation of internal financial control systems & SOPs
    • Preparation of Financial statements, including balance sheet, statements of profit and Loss and supporting Notes to Accounts
    • Maintaining ledgers for Fixed assets & leases
    • Perform financial statement variance analysis and explanation (actuals vs. forecast, period-over-period actuals)
    • Perform account reconciliations and detailed scrutiny of all items lying in the account
    • Prepare documentation to support external and internal audits
    • Ensure compliance with applicable policies, contracts, and regulations (including country specific)
    • Close of monthly Finance books which include accrual preparation, prepaid amortization & comprehensive Profit and Loss analysis
    • Prepare journal entries and reviews accounting classifications in accordance with generally accepted accounting principles
    • Preparation of Bank reconciliation statements
    • Preparation and presentation of Monthly MIS, Budgets, Cash flows etc
    • Handling direct & indirect tax matters up to assessment level directly
    • Involvement in implementation of internal financial control systems & SOPs