Posted:1 month ago|
Platform:
On-site
Full Time
Responsibilities:
Maintain day-to-day accounting entries and ensure accuracy in the books of accounts
Handle ledger scrutiny, journal entries, and classification of expenses
Enter records in Tally Prime or ERP software regularly and accurately
Prepare and file GST returns (GSTR-1, GSTR-3B, GSTR-9) and manage reconciliations
Calculate, deposit, and file TDS; maintain TDS registers
Assist in the finalization of accounts and coordinate during audits (internal/statutory)
Handle banking operations including payments, cheque entries, and bank reconciliations
Prepare MIS reports: cash flow, expense reports, budget vs. actual, etc.
Manage vendor payments, invoice tracking, and customer receivables follow-up
Maintain proper documentation for GST, TDS, audits, and statutory compliance
Liaise with internal departments, consultants, banks, and auditors as needed
Support budgeting, cost control, and financial forecasting activities
Alliance Recruitment Agency
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