- Handle day-to-day accounting entries in Tally Prime
- Maintain purchase sales receipts payments journals and ledgers
- Manage GST and TDS accounting reconciliation and compliance support
- Prepare and maintain Bank Reconciliation (BRS)
- Handle accounts payable and receivable and track outstanding balances
- Verify invoices bills vouchers and supporting documents
- Assist with GST/TDS returns and statutory compliance
- Prepare basic MIS and accounting reports as required
- Coordinate with auditors banks vendors and internal teams
- Ensure accurate and timely maintenance of books of accounts
FUNCTIONAL AREA
Jobs for Accounts Executive
Jobs for Junior Accountant
Jobs for Tally
Jobs for GST/TDS
Jobs for Accountant
Jobs for Accounts Assistant
Jobs for Bank Reconciliation
Jobs for Day to Day Operation
Jobs for Accounts
Jobs for Balance Payment