- Record cash, card, UPI, and bank transfer transactions.
- Generate accurate GST invoices and customer bills.
- Reconcile daily cash collections, bank statements, and cash drawers.
- Maintain general ledgers, journals, and daybooks.
- Monitor inventory records and stock movements.
- Verify physical stock with system inventory during stock audits.
- Record old gold exchange values, melting charges, and making charges.
- Prepare and file monthly, quarterly, and annual GST returns.
- Manage TDS compliance and vendor payments.
- Coordinate with internal and external auditors during financial audits.
- Ensure accurate financial records and statutory compliance
📌 Accountant (Chennai)
🏢 Setu Talent Solutions
📍 Chennai
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