Job Responsibilities:
• Maintain accurate financial records, including bank statements, invoices, and receipts.
• Perform regular account reconciliation to ensure data accuracy.
• Prepare and present monthly MIS reports for management.
• Ensure compliance with GST laws (GSTR-1, GSTR-3B) and perform GST reconciliation with GSTR-2A.
• Handle TDS and TCS compliance in accounting.
• Process and manage petty cash transactions for different locations.
• Provide banking-related support to the team head.
• Handle daily accounting tasks, including sales, purchase, bank entries, e-way bills, e-invoices, and bank reconciliation.
Skills & Knowledge Required:
• Mandatory: Tally expertise
• Proficiency in MS Office (Excel, PPT)
• Good communication skills
Skills: Data Entry, Accounting Software, Bookkeeping, tax preparation, Financial Reporting