Record purchase, sales, payment, receipt, and journal entries in the accounting system.
Perform daily bank reconciliation and update bank transactions.
Prepare and maintain GST, E-way Bill/EVC, and other statutory records as required.
Verify invoices, vouchers, and supporting documents.
Reconcile customer and vendor ledgers.
Assist in monthly closing, MIS reports, and audit documentation.
Maintain accurate financial records and ensure compliance with company policies.
Pay: ₹15,000.00 - ₹30,699.44 per month
Benefits:
- Cell phone reimbursement
- Health insurance
- Provident Fund
Experience:
- Accounting: 1 year (Required)
- Tally: 1 year (Required)
Work Location: In person