Posted:3 months ago|
Platform:
Work from Office
Full Time
Accounts Executive Reconciliation of Bank Accounts on daily basis: Reviewing and matching the company's bank account records with internal records, ensuring all transactions are accurately recorded and reconciled. Journal Voucher Entries: Recording of journal entries into the accounting system for various transactions such as sales, expenses, adjustments, and other financial activities. Annual Audit Reports (Internal/External): Preparing or assisting in the preparation of both internal and external audit reports to ensure financial statements are accurate and in compliance with relevant regulations. Filing GST Return & Compliance Record: Ensuring that the company submits its Goods and Services Tax (GST) returns on time, maintains proper records, and complies with GST regulations. All Tax Payment & Return Working: Managing and ensuring all tax-related filings are done accurately.
Rajasthan Liquors
Upload Resume
Drag or click to upload
Your data is secure with us, protected by advanced encryption.
Chennai
1.0 - 3.25 Lacs P.A.
2.0 - 5.0 Lacs P.A.
50.0 - 60.0 Lacs P.A.
2.0 - 5.0 Lacs P.A.
0.13 - 0.18 Lacs P.A.
0.18 - 0.25 Lacs P.A.
Experience: Not specified
Salary: Not disclosed
Experience: Not specified
3.16256 - 5.52494 Lacs P.A.
2.4 - 3.6 Lacs P.A.
0.15 - 0.15 Lacs P.A.