Scope of Work: Finalization of Accounts as per IND AS To maintain and update all records like vouchers, receipts, bills, and payments Responsible to handle day-to-day Accounting Manage bank related tasks like issuing cheques, cash deposits, NEFT and RTGS Liaison and follow up for vendor payments Must have knowledge about TDS and GST provisions Will be responsible for bank reconciliation Responsible to make provisional entries for quarterly finalization Preparation of trial balance, Profit and Loss, notes, sub-notes, partners’ capital account and balance sheets Responsible for payment of all statutory compliances Handling branch accounting and coordinating with other branch staff whenever required
Job Type: Full-time
Work Location: In person