Manage all day-to-day accounting activities (sales, purchase, expenses, bank, petty cash, etc.)
Maintain general ledger and trial balance
Record journal entries and ensure timely data entry in accounting software (e.g., Tally/Busy/SAP)
Regular follow-up with customers for outstanding dues
Reconciliation of customer/vendor accounts
Manage timely payments to vendors and statutory dues
4. Inventory & Costing Support
Coordinate with stores/warehouse team for stock valuation and reconciliation
Support costing of veterinary products and raw materials
Analyze production costs and suggest improvements
5. Banking & Finance Coordination
Prepare bank reconciliation statements
Handle loan EMI, OD limits, and bank-related documentation
Coordinate with banks for payments, transactions, and fund management
6. MIS & Reporting
Prepare monthly P&L, balance sheet, cash flow reports
Generate daily/weekly sales-purchase summaries for management
Assist in budgeting and variance analysis
7. Audit & Compliance
Support internal and statutory audits
Maintain records as per audit and regulatory requirements (GST, Income Tax, etc.)
Coordinate with CA/consultant for compliance and financial closure
Job Type: Full-time
Pay: ?15,000.00 - ?20,000.00 per month
Benefits:
Provident Fund
Language:
English (Preferred)
Work Location: In person
Application Deadline: 09/08/2025
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