1 - 31 years

2 Lacs

Posted:1 week ago| Platform: Apna logo

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Work Mode

On-site

Job Type

Full Time

Job Description

Daily AccountingRecord all purchase, sales, expense, and payment entries in accounting software (Tally/Zoho/ERP). Maintain cash book and bank book. Handle petty cash. Bank reconciliation on a daily/weekly basis. Statutory CompliancePrepare and file GST returns (GSTR-1, GSTR-3B). Handle TDS calculation, deduction, and return filing. Ensure compliance with Income Tax rules. Support during audits and provide necessary documents. Financial ReportingPrepare monthly P&L, balance sheet, and MIS reports. Maintain vendor and customer ledgers accurately. Follow up on outstanding payments and coordinate with sales team. Inventory & DocumentationMaintain inventory records and verify stock entries. Manage invoices, bills, credit notes, and debit notes. Maintain proper documentation for all financial transactions. Other ResponsibilitiesCoordinate with banks for payments, deposits, and queries. Assist in budgeting and cost control. Support management with financial data whenever required.

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