sales, purchases, receipts, payments, and journal entries
.
Handle
petty cash
, vouchers, and expense tracking.
Prepare and process
invoices, debit/credit notes
.
Reconciliations
Perform
bank reconciliation
on a regular basis.
Reconcile
vendor, customer, and inter-company accounts
.
Maintain accurate balance confirmations and statements.
Financial Reporting
Prepare
profit & loss statements, balance sheets
, and MIS reports.
Assist in
monthly, quarterly, and annual financial closing
.
Provide support during
internal and statutory audits
.
Taxation & Compliance
Prepare data for
GST filing, TDS, PT, and other statutory requirements
.
Assist the auditor in tax-related documentation and returns.
Maintain all compliance-related records and registers.
Documentation & Support
Maintain proper filing of all financial documents.
Coordinate with vendors, customers, banks, and auditors.
Support management with financial analysis and reports.
Job Type: Full-time
Pay: ₹15,000.00 - ₹20,000.00 per month
Work Location: In person
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