Posted:2 weeks ago|
Platform:
On-site
Full Time
Maintain books of various entities in Tally
Daily cash and Bank reconciliation
Weekly bank balance report in format
Monthly Cashflow and MIS related activities
Banking related activities
online challan / tax / vendor payment
GST payment and filing return
TDS payment and filing retun
statutory compliance and close Audits of entities
Monthly accurate financials
Good in Excel
Experience in Tally
Banking transactions / Tax / Challan payments
Knowledge of GST
Knowledge of TDS
Knowledge of Banking activities
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