Posted:2 days ago| Platform:
On-site
Full Time
· · Enter daily financial transactions in Tally/Excel. · Maintain ledgers, invoices, receipts, and quotations. · Perform bank reconciliations and assist in monthly closings. · Handle GST, TDS, and statutory compliance. · Prepare bills, vouchers, and payment requests. · Manage petty cash and cash book entries. · Ensure data accuracy and integrity across systems. · Review and correct data errors, generate reports. · Upload and organize digital/physical documents. · Maintain confidentiality and support audit readiness Job Type: Full-time Schedule: Day shift Language: English (Preferred) Work Location: In person
The Stonecasa
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Experience: Not specified
Salary: Not disclosed
1.8 - 2.4 Lacs P.A.
Experience: Not specified
Salary: Not disclosed
1.8 - 2.4 Lacs P.A.