1. Maintain accurate records of all financial transactions, Including bank statement invoice and receipts.
2. Reconcile accounts on a regular basis to ensure the accuracy and completeness of financial data.
3. Tally exposer is mandatory
4. Preparation and presentation of monthly MIS.
5. Ensure compliance w.r.t, GST Law such as GSTR-1, GSTR-3B.
6. GST reconciliation as per GSTR-2A and Book of Accounts, support GST Accounting.
7. Ensure compliance with the provisions of TDS, TCS.
8. Petty cash processing for different locations and accounting the same in Tally.
9. Banking related support to team head.
10. Day to Day account entries knowledge
11. Sales, Purchase, Bank Entries and E-Way and E-Invoice and Bank Reconciliation
Job Types: Full-time, Permanent
Pay: ?25,761.77 - ?33,671.57 per month
Benefits:
Flexible schedule
Paid sick time
Schedule:
Day shift
Work Location: In person
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