Daily cash reconciliation, deposit tracking, and shortages management
Credit Card Reconciliation:
Daily reconciliation, chargeback follow-up, and pending proceeds tracking
Control Account Reconciliation:
Reconciliation of control and fund transfer accounts
Payroll:
Attendance data collection, payroll processing, salary generation, and communication
Petty Cash:
Vouching, reconciliation, and daily transaction entry
Banking:
Daily bank reconciliation, fund management, and bank liaison
Legal & Taxation:
TDS deductions, deposit, and compliance, Form 16/16A issuance, and annual reconciliation
Requirements:
Bachelor's degree in Accounting, Finance, or a related field.
4+ years of experience in accounting, with specific experience in the jewelry industry.
Strong proficiency in accounting software like Tally.
Advanced knowledge of Excel, including PivotTables, Power Query, and Macros.
Familiarity with jewelry-specific accounting software is a plus..
Proficiency in GST, TDS, and other statutory compliance.
Job Types: Full-time, Permanent
Pay: ?25,000.00 - ?30,000.00 per month
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