Manage daily accounting entries, vouchers, cash & bank transactions.
Prepare GST, TDS, invoices, purchase/sales bills, and ensure compliance.
Maintain ledgers, reconcile bank statements, and monitor outstanding payments.
Handle payroll, expenses, petty cash, and monthly closing of books.
Prepare financial reports, balance sheets, P&L, and support audits.
Coordinate with departments, vendors, and management for financial data.
Ensure accurate record-keeping, documentation, and timely reporting.
Job Type: Full-time
Pay: ?30,000.00 - ?50,000.00 per month
Work Location: In person
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