Key Responsibilities
Site &
Project Costing:
Track site-level expenses, raw material purchases, and petty cash;
Vendor &
Subcontractor Payouts:
Verify contractor bills, process supplier invoices, and deduct applicable TDS and retention amounts.
Customer Billing: Issue construction milestone demand letters, record flat/plot buyer payments, and track bank loan disbursements.
Tax &
Compliance Support:
Assist with monthly GST data preparation, TDS filings, and project bank account reconciliations.
Ledger &
Reconciliations:
Perform daily entry in accounting software and prepare monthly Bank Reconciliation Statements
Key Skills Required
Accounting Software: Tally Prime, , and intermediate MS Excel
Taxation &
Billing:
Basic understanding of GST (Input Tax Credit), TDS deductions, and vendor RA (Running Account) bills.
Data Accuracy: Precision in site bill verification, expense tracking, and inventory reconciliation.
📌 Accountant Pune
🏢 lushlife
📍 Pune