Accounting Book-Keeping Maintain complete and accurate books of accounts in Tallyon a regular basis Pass all accounting entries with proper narration as per company-defined formats including Bank Reference UTR numbers Handle Bank Reconciliation Statements BRS Journal Vouchers Cash Bank Vouchers Petty Cash Vouchers Sales Purchase Orders Sales Purchase Bills Direct Indirect Expense accounting CSR-related accounting entries Manage and maintain all accounting records and files Assist in yearly Balance Sheet finalisation and audit support 2 GST Compliance Prepare and fileGSTR-1 and GSTR-3Breturns Ensure timely GST entries and reconciliations 3 TDS Compliance Perform TDS workings entries and return filings File quarterly TDS returns within statutory timelines Ensure timely TDS payments 4 Payments Cash Flow Management Execute regular approved payments including Salaries Utilities Vendors Credit Cards Other recurring payments Ensure all credit card bills utility bills and vendor dues are paid before due dates Track pending bills records 5 MIS Reporting Prepare and update Monthly MIS reports Monthly expense and income receivable sheet 6 Audit Compliance Conduct monthly internal audits and resolve queries Ensure compliance with all statutory and regulatory requirements Job Type Full time Pay 30 000 00 - 65 000 00 per month Benefits Paid sick time Provident Fund Work Location In person