REQUIREMENTS
  • Managing all Accounting Activities like Bill Booking, Invoicing, periodic and daily entries in ERP.
  • Preparation of Bank Stock statements, Bank Reconciliation statements.
  • Handling Petty Cash.
  • GST calculation and Filing, Statutory filing of ESI, EPF, PT, TDS as per the statute.
  • Managing Indirect and Direct Taxes.
  • Interaction with Customers and Vendors for Receivables, Payments, Balance confirmations.
  • Preparation of Monthly, Quarterly and Annual Financial Statements.
Job Type: Full-time




  

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