Record all purchase and sales transactions accurately.
Maintain daily cash book and bank book.
Handle cash, cheques, UPI, and credit card settlements.
2. Inventory & Stock Management
Track gold, silver, diamond, and gemstone inventory.
Record stock in/out movements with proper weight, purity, and wastage details.
Conduct periodic stock verification with sales & store teams.
3. Purchase & Vendor Payments
Maintain purchase bills from suppliers.
Verify purity, weight, and rate before booking invoices.
Process vendor payments on time.
4. Sales Billing & GST Compliance
Prepare invoices as per GST norms.
Maintain HSN codes for jewellery items.
File GST returns and maintain related documents.
5. Customer Accounts & EMI Schemes
Maintain advance booking records and gold saving scheme accounts.
Track customer payments and balances.
Issue receipts and maintain supporting documents.
6. Banking & Finance
Deposit daily sales cash and cheques in the bank.
Reconcile bank statements with books of accounts.
Coordinate with banks for loans, gold overdrafts, and deposits.
7. Tax & Statutory Compliance
TDS, GST, and other statutory filings.
Maintain proper vouchers and audit-ready documents.
8. Reporting & Coordination
Prepare daily, weekly, and monthly sales and expense reports.
Coordinate with auditors for annual audits.
Update management on cash flow, outstanding dues, and profitability.
cell ;9994590574
Job Type: Full-time
Pay: ?15,000.00 - ?25,000.00 per month
Benefits:
Cell phone reimbursement
Health insurance
Provident Fund
Work Location: In person
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