Posted:1 week ago|
Platform:
Work from Office
Full Time
1) Manage day-to-day accounting operations using tally prime.
2) Handle accounts payable & receivable with proper documentation and reconciliation.
3) Timely and accurate GST & TDS returns filings.
4) Prepare voucher entries, ledger scrutiny, and bank reconciliation.
5) Assist the finalisation of accounts and working with auditors.
6) Maintain statutory compliance records and coordinate with CA Consultants.
1) COMPLETE BOOK-KEEPING
2) ACCOUNTS PAYABLE & RECEIVABLE
3) BANK RECONCIALATION STATEMENT (BRS)
4) FINALISATION OF ACCOUNTS WORK WITH AUDITOR
5) MAINTAIN STATUTORY COMPLIANCE RECORDS
6) ACCOUNTING SOFTWARES (Eg. TALLY PRIME) & ADVANCE EXCEL
7) GST & TDS COMPLIANCES
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