Taking Entries ie, payment, receipt, Journal etc .
Process project invoices, in a timely manner
Bank & Project Reconciliation
Meeting the statutory compliances of monthly and quarterly returns
providing the requirements of Income Tax, GST and FCRA returns
Verification of all operational expenditure and payment entries in the books of accounts
Reconciliation of vendor accounts to ensure that all balances are matching with both books of accounts on quarterly basis.
Maintaining Accounts for the Government Sponsored Project under PFMS
Resolution of all Account Related Queries by co-ordinating with Internal Teams.
Co-ordinating with Grant office and work towards resolution
Broadly continue to provide all other assistance with regards to the work to the Immediate supervisor
Key Skills:
TDS, GST AND TALLY EXPERIENCE IS MUST
-Managing multiple projects ledger accounts simultaneously
-Being professional and thorough
-Taking initiative
-Being a team player & trustworthy
-Good Communication
-Ability to perform under Stress
Job Type: Full-time
Pay: ?10,428.08 - ?33,662.56 per month
Benefits:
Cell phone reimbursement
Work Location: In person
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