Maintain day-to-day accounting transactions in Tally Prime .
Handle purchase, sales, receipts, payments, journal entries, and other accounting transactions.
Prepare and maintain bank, ledger, and vendor/customer reconciliations .
Perform GST-related accounting and reconciliation activities.
Assist in the preparation and verification of GST-related data and reports.
Maintain proper records of invoices, bills, vouchers, and other financial documents.
Verify invoices and ensure accuracy of accounting entries.
Assist in accounts payable and accounts receivable activities.
This job is provided by Shine.com
📌 Accountant Pune
🏢 LogicMo Systems Private
📍 Pune
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