Job Description:
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Perform accurate data entry of financial transactions into accounting systems.
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Manage banking activities including cheque deposits withdrawals and maintaining banking records.
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Handle petty cash maintain vouchers and ensure timely replenishment.
-
Post payment entries receipts and journal entries in the system.
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Prepare and maintain Bank Reconciliation Statements (BRS) on a regular basis.
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Assist in GST workings return preparation and reconciliation.
-
Handle TDS calculations deductions and basic compliance.
-
Maintain proper filing and documentation of invoices bills and financial records.
-
Coordinate with internal teams and vendors for payment-related queries.
-
Support the finance team in month-end closing activities
Job Description: Perform accurate data entry of financial transactions into accounting systems. Manage banking activities including cheque deposits withdrawals and maintaining banking records. Handle petty cash maintain vouchers and ensure timely replenishment. Post payment entries ...
Job Description:
-
Perform accurate data entry of financial transactions into accounting systems.
-
Manage banking activities including cheque deposits withdrawals and maintaining banking records.
-
Handle petty cash maintain vouchers and ensure timely replenishment.
-
Post payment entries receipts and journal entries in the system.
-
Prepare and maintain Bank Reconciliation Statements (BRS) on a regular basis.
-
Assist in GST workings return preparation and reconciliation.
-
Handle TDS calculations deductions and basic compliance.
-
Maintain proper filing and documentation of invoices bills and financial records.
-
Coordinate with internal teams and vendors for payment-related queries.
-
Support the finance team in month-end closing activities
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