Posted:4 days ago| Platform: Shine logo

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Work Mode

On-site

Job Type

Full Time

Job Description

You will be responsible for maintaining daily accounting tasks using Tally Prime software. Your role will involve checking daily expenses, handling journal entries, bank reconciliation, and managing taxation matters such as GST and TDS. Your duties will include day-to-day accounting, client purchase order entry, vendor purchase order generation, purchase stock sheet maintenance, office expense sheet maintenance, and bank accounts & PDC cheque sheet maintenance. Additionally, you will be responsible for bank and sundry debtors creditors reconciliation, banking tasks such as issuing cheques for clearing, cash deposits, NEFT, and RTGS, as well as regularly reconciling bank and other key accounts. You may also be required to carry out any other ad-hoc tasks as assigned. This is a full-time position and the benefits include leave encashment. The work location is in person.,

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