Job description:
To maintain daily basis accounting work, knowledge on tally prime, to be check daily expenses, knowledge about the journal entries, bank reconciliation & taxation, GST, TDS, Etc
Desired Candidate Profile
Handling to Day-to-Day Accounting.
Client Purchase order entry.
Vendor purchase order generation.
Purchase Stock sheet maintenance.
Office Expense Sheet maintenance.
Bank Accounts & PDC cheque sheet maintenance.
Maintain all records like Vouchers, Receipts, Bills, and Payments.
Bank and Sundry Debtors Creditors reconciliation.
Banking works like a cheque issue for clearing Cash Deposit, NEFT, and RTGS.
Reconcile bank and other key accounts regularly.
Carry out any other/ad-hoc tasks which are assigned.
Pay: ₹30,000.00 - ₹35,000.00 per month
Benefits:
Work Location: In person