Posted:2 months ago|
Platform:
Work from Office
Full Time
Role & responsibilities Responsible for Bank Payment Receipt entries of Customer Responsible for Bank Reconciliation Responsible for Cash card entry and reconciliation Responsible for Courier bill checking with Quotation Responsible for Electronic Cash & Credit Ledger Reconciliation with book Responsible for GSTR-2B Reconciliation and Follow up with vendor Responsible for Monthly Reconciliation of GSTR-1 Vs GSTR-3B Vs Book New product creation in OB & New supplier creation in OB Responsible for all accounting of Lucknow Location Responsible for checking and booking supplier Bills & payment-out entry Responsible for checking / approval of daily petty cash transaction for warehouse level Responsible for maintaining records within given ERP Responsible for physical voucher checking? Petty cash handling and entry Responsible to maintain IOU accounts. Responsible to maintain old filing records Transfer of GST and TCS to PC on Monthly Basis Turnover Reconciliation with GSTR-1 Preferred candidate profile Good Communication Skills Knowledge of Accounting Knowledge of GST & TDS
PAREKH
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