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    | Accounting Services |  
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        	Verification and scrutiny of invoices for their authenticityPeriodic monitoring of salary advances provided to the employeesVerification and processing of various reimbursements made to the employees Making the data entry and maintenance of the updated books of account in accordance with the statutory provisionsPeriodic review and scrutiny in respect of the correctness of the books of accountAdvice on the funds requirementsLiaison with the Bankers for timely statements and advises, follow-up with respect to remittances and disbursementsReconciliation of the Bank Statement with the books of account and eradication of the Suspense Accounts, if anyReconciliation of the accounts of various vendors, suppliers and / or other parties on a regular basisPreparation of monthly Management Information System (MIS) Reports in the prescribed formatPreparation of the Trial Balance and the Annual Accounts at the end of the Financial YearPreparation of the various details required for Statutory AuditMaintenance of Fixed Assets Register |  | 
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