30 Sep
Astaguru Auction House (Giftex)
Mumbai Suburban
1. Accounts Payable & Receivable: Manage the accounts payable and receivable processes, ensuring timely payments and collections. Reconcile supplier/vendor accounts and process invoices.
2. General Ledger Maintenance: Assist in maintaining the general ledger by posting journal entries, reconciling accounts, and ensuring accuracy of financial data.
3. Bank Reconciliation: Perform regular bank reconciliations to ensure accuracy between bank statements and accounting records.
4. Expense Tracking: Monitor company expenses and ensure proper documentation and approvals for all transactions.
5. Tax Compliance: Assist with tax-related tasks, including the preparation of TCS/GST returns and ensuring adherence to tax regulations.
6.
Audit Support: Support external audits by providing necessary documents and explanations for financial transactions.
7. Accounting Documentation: Maintain accurate and up-to-date records of all financial transactions and documentation as per company policy and legal requirements.
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