27 Aug
|
D. Ganguli
|
Kanpur
JOB OVERVIEW
KEY RESPONSIBILITIES
Bookkeeping & Ledger Maintenance: Maintain, enter, and review accurate day-to-day books of accounts in Tally software (voucher entries, journal vouchers, purchases, sales, and ledger updates).
Bank Reconciliation Statements (BRS): Perform regular bank reconciliations, monitor cash flows, and proactively resolve discrepancies between bank statements and books.
Financial Accounting & Finalization Support: Assist in preparing regular financial statements, balance sheets, profit & loss statements, and supporting schedules.
Reconciliations & Discrepancy Resolution: Execute routine account reconciliations (debtors, creditors, inter-branch reconciliations) necessary for smooth audit and financial finalization.
Compliance & Documentation: Ensure all accounting documentation, supporting vouchers, invoices, and records are properly organized and aligned with standard accounting standards.
KEY REQUIREMENTS & QUALIFICATIONS
Qualified Experience: Demonstrated hands-on experience in accounting, ledger maintenance, and financial reconciliations.
TECHNICAL SKILLS & CORE COMPETENCIES
Tally Proficiency: Full working knowledge and hands-on operational capability in Tally Prime / ERP 9 (including voucher entries, ledger configuration, report extraction, and trial balance verification).
MS Excel Skills: Proficient in MS Excel for data analysis, routine reporting, lookup formulas, and financial calculations.
Analytical Thinking & Precision: High attention to detail with robust analytical and numerical reasoning abilities to spot and resolve financial discrepancies efficiently.
Pay: ₹12,000.00 - ₹20,000.00 per month
Application Question(s):
Will you be able to arrange conveyance for travel within the city for visiting client offices
Education:
Bachelor's (preferred)
License/Certification:
Tally Software Training (preferred)
Location:
Kanpur, Uttar Pradesh (Kanpur) (required)
Work Location: In person
📌 Requirement Of Accountant For Kanpur
🏢 D. Ganguli
📍 Kanpur