
Responsibilities:
1. Day-to-Day Accounting:
Manage daily accounting tasks, including accounts payable and receivable, including CNF
entries.
Perform regular bank and cash reconciliations.
Bank reconciliation for all banks.
2. Financial Compliance and Reporting:
Prepare regular reports and summaries covering all accounting aspects of the company.
Ensuring the flow of MIS reports to management.
Ensure compliance with GST and TDS regulations.
Proficiency in Tally, MS Excel, and MS Word.
Knowledge of GST and TDS regulations.
3. Ledger and Software Management:
Maintain accounting ledgers and perform reconciliations.
Use Tally Prime accounting software effectively
Utilize MS Excel and MS Word for financial documentation and reporting.
Experience – 3 to 5 years