Faridabad, Haryana, India
Data Analysis, Validation, PPT, Power BI
Responsible for daily bank reconciliation, including verification of all types of payments, receipts, PhonePe, card, and cash transactions. Handle PhonePe and card accounting, including day-to-day reconciliation and accurate posting in the accounts. Manage receipt entries from TPA and government panels, and handle full and final payment reconciliation. Perform daily purchase bill entries for medicines, consumables, and general items. Prepare and maintain daily reports and dashboards related to revenue and financial data. Ensure accuracy, timely updates, and proper documentation of all financial and purchase-related entries.