Key Responsibilities
Manage end-to-end accounting operations using Tally to ensure accurate ledger maintenance.
Process and verify vendor bills against purchase orders and resolve any payment discrepancies.
Utilize advanced Excel functions like VLOOKUP and Pivot Tables for financial data analysis and reporting.
Handle monthly GST filings including GSTR-1 and GSTR-3B and ensure accurate reconciliation.
Calculate and deposit TDS monthly and prepare data for quarterly return filings.
Conduct regular bank, vendor, and customer reconciliations to maintain data integrity.
Prepare necessary documentation and schedules for statutory and internal audits.
Assist in the preparation of monthly MIS reports, balance sheets, and profit and loss statements.
Job Type: Full-time
Pay: ?25,000.00 - ?35,000.00 per month
Experience:
Tally PRime: 3 years (Required)
Work Location: In person
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