Day to day accounting.
Making Entries of Voucher, Purchase, and Credit note & Debit Note.
Enter the sales & purchase entry in tally
Bank Reconciliation.
Passing all receipt & payment entries.
Passing all Cheque Entries.
Cheque entry & maintain record on daily basis.
Handling Cash, Credit Card & Cheque Reconciliation.
Banking Knowledge Cash, Cheque, RTGS & NEFT.
TDS Entry, GST Entry & Salary Payment Check and Entries.
Owner Personal & Credit Card Account Manage.
Qualifications
Should be B.com / M. Com.
Knowledge of accounting software like Tally,
Proficiency in MS Excel and other MS Office tools.
Knowledge of GST & TDS return.
Best Regards
RITA MISHRA
Job Type: Permanent
Pay: ?25,000.00 - ?30,000.00 per month
Benefits:
Provident Fund
Work Location: In person
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