- Recording of payments, Receipts and Expenses
- Preparation of Bank Reconciliation Statement.
- Preparation of Cash Vouchers.
- Managing Petty Cash.
- Processing monthly GST returns.
- Processing of monthly return of TDS & payment.
- Performing monthly balance sheet, income statement and project the changes and risk areas.
- Debtors & creditors Balance Reconciliation.
- Verfications of purchase, pharmacy and sales entries.
- Checking of physicial stock and sharing deviations to the Management.
- Coordinating with HO for processing balance sheets, income statements and other financial statements.
- Auditing assistance and accounts filnalization
Pay: ₹20,000.00 - ₹30,000.00 per month
Benefits:
- Flexible schedule
- Food provided
- Health insurance
- Leave encashment
- Paid sick time
- Paid time off
- Provident Fund
Education:
Experience:
- Accounting: 3 years (Required)
Language:
- Malayalam and English (Required)
Work Location: In person