: 1. Accounting Data Entries (Purchase, Purchase Order,Sales Invoice, Inventories Cash Voucher, Bank Payment Voucher, Receipts Journal etc. 2. Bank Reconciliation. 3. Ledger Scrutinies 4. Preparing Monthly Stock Statement 5. Preparing Monthly Financial Report (B-Sheet, P & L) 6. TDS deduction and Payments 7. Filling of TDS Returns 8. Filling of GSTR1 and GSTR3B 9. Reconciliation of GSTR 2A 10. Maintaining Staff Petty Expenses Account. 11. Stock and Book Debt Statement for Banks 12. Tally and Excel Knowledge must Job Types: Full-time, Permanent Salary: 12,000.00 - 15,000.00 per month Schedule:
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