Description of Work Responsibilities
1. Voucher Entries for Bank
Recording and maintaining all bank-related voucher entries, including deposits, withdrawals, and inter-bank transfers, ensuring accuracy and proper classification in accounting records.
2. Entry of Shares
Posting entries related to purchase and sale of shares, tracking investments, dividends, and capital gains/losses in accordance with accounting standards.
3. Entry of Mutual Funds
Recording mutual fund transactions such as investments, redemptions, and dividend reinvestments, ensuring proper valuation and reconciliation with statements.
4. Individual Entries of Bank Statements
Entering and reconciling individual bank transactions on a daily/monthly basis to ensure all financial activities are accurately reflected in the books.
5. Entry in Tally Prime
Handling complete data entry and accounting operations in Tally Prime, including creation of ledgers, vouchers, and preparation of financial reports.
6. Credit Card Entries
Recording credit card expenses and payments, reconciling statements, and ensuring accurate categorization of personal and business expenditures.
7. ITR Filing of Individuals
Preparing and filing Income Tax Returns (ITR) for individual clients, including computation of total income, deductions, and tax liabilities as per current tax laws.
Job Types: Full-time, Permanent
Pay: ₹12,000.00 - ₹15,000.00 per month
Benefits:
Leave encashment
Provident Fund
Education:
Bachelor's (Preferred)
Experience:
Manufacturing: 1 year (Preferred)
Work Location: In person
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