Key ResponsibilitiesBanking & Payment Management
- Daily bank updates and payment entries
- Handling Jindal payments and banking coordination
- Processing TDS/TCS and advance tax payment activities
- Verification and payment of office expenses
- Managing cash withdrawals and banking schedules
Account Reconciliation
- Daily reconciliation of party ledgers
- Ledger confirmation and account verification
- Jindal ledger tally and mail coordination
- Preparing weekly YES Bank statement reports
Bill & Expense Management
- Maintaining expense bill books
- Managing utility bills and office expense records
- Handling CHA import and transport bill entries
Tax & Compliance
- Checking GSTR-1 and GSTR-3B data
- Preparing TDS/TCS working sheets
- Maintaining 26AS and tax-related account entries
- Assisting in quarterly compliance activities
Utility & Operational Payments
- Managing internet, electricity, mobile, maintenance, and other operational bill payments
- Credit card and finance-related payment coordination
Other Responsibilities
- Performing additional accounting and administrative tasks as assigned by management
Desired Skills & Attributes
- Strong accountability and ownership
- Attention to detail
- Integrity and confidentiality
- Good coordination and communication skills
- Basic GST and taxation knowledge
- Ability to manage deadlines and multiple tasks
- Experience in accounting and banking operations
- Knowledge of Tally, Excel, GST, and ledger reconciliation
- Organized and disciplined working style
- Ability to work in a fast-paced environment
Why Join Us?
- Opportunity to work with a reputed stainless steel organization
- Qualified growt