Input Tax Credit and Output Tax ReconciliationsPreparation of Financial Statements i.e., B/s & P&L Day-To-Day Accounting/ Book - Keeping GST Computation, 2A & 2B Reconciliation & Return Filing TDS Computation, Reconciliation with 26AS and Vendors, Tax Deposit Income Tax Computation & Return Filing MIS of Cash Flow Reconciliation of AP & AR (Debtors & Creditors) Monthly, Quarterly, Semi Annually & Annually Closing of Accounts Balance Sheet and Profit & Loss Preparation and Finalization of Accounts. Preparing sales invoice & the upkeep of an accurate accounts filing system.. Preparation and input of month end journal vouchers. Posting of voucher of sales, purchase, bank, JV etc. Preparing & verification of bills/invoices Facilitates reporting of receivables. Reporting of payable. Verification & accounting of vendor bills/employees' payments/statutory payments etcJob Type: Full-timeSalary: Up to ?40,000.00 per monthSchedule:
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