- Maintain day-to-day financial transactions (sales purchases receipts payments)
- Record journal entries and post to the ledger
- Update accounts payable and receivable
- Manage petty cash and maintain records
- Process payments through cheques NEFT RTGS or online banking
- Reconcile vendor statements and resolve discrepancies
- Assist with TDS deductions payments and returns
- Ensure compliance with statutory regulations (Income Tax PF ESI etc.)
- Support in budgeting and financial forecasting
- Provide necessary documents and clarifications during audits
- Banking Operations (LC TT Cash Withdrawal Etc.)
- Maintain accurate and up-to-date financial records
- Ensure proper filing of invoices vouchers and statutory documents
Required Skills:
Maintain day-to-day financial transactions (sales purchases receipts payments) Record journal entries and post to the ledger Update accounts payable and receivable Manage petty cash and maintain records Process payments through cheques NEFT RTGS or online banking Reconcile vendor statements and resolve discrepancies Assist with TDS deductions payments and returns Ensure compliance with statutory regulations (Income Tax PF ESI etc.) Support in budgeting and financial forecasting Provide necessary documents and clarifications during audits Banking Operations (LC TT Cash Withdrawal Etc.) Maintain accurate and up-to-date financial records Ensure proper filing of invoices vouchers and statutory documents
Maintain day-to-day financial transactions (sales purchases receipts payments)Record journal entries and post to the ledgerUpdate accounts payable and receivableManage petty cash and maintain recordsProcess payments through cheques NEFT RTGS or online bankingReconcile vendor statements and resolve d...
- Maintain day-to-day financial transactions (sales purchases receipts payments)
- Record journal entries and post to the ledger
- Update accounts payable and receivable
- Manage petty cash and maintain records
- Process payments through cheques NEFT RTGS or online banking
- Reconcile vendor statements and resolve discrepancies
- Assist with TDS deductions payments and returns
- Ensure compliance with statutory regulations (Income Tax PF ESI etc.)
- Support in budgeting and financial forecasting
- Provide necessary documents and clarifications during audits
- Banking Operations (LC TT Cash Withdrawal Etc.)
- Maintain accurate and up-to-date financial records
- Ensure proper filing of invoices vouchers and statutory documents
Required Skills:
Maintain day-to-day financial transactions (sales purchases receipts payments) Record journal entries and post to the ledger Update accounts payable and receivable Manage petty cash and maintain records Process payments through cheques NEFT RTGS or online banking Reconcile vendor statements and resolve discrepancies Assist with TDS deductions payments and returns Ensure compliance with statutory regulations (Income Tax PF ESI etc.) Support in budgeting and financial forecasting Provide necessary documents and clarifications during audits Banking Operations (LC TT Cash Withdrawal Etc.) Maintain accurate and up-to-date financial records Ensure proper filing of invoices vouchers and statutory documents
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