23 Sep
|
Alliance Buildcon
|
Navi Mumbai
23 Sep
Alliance Buildcon
Navi Mumbai
Handle day-to-day accounting and banking transactions.
Prepare invoices, bills, receipts, payments and bank reconciliation.
Manage GST, TDS, Income Tax and other statutory compliances.
Maintain receivables/payables and ensure timely payment follow-ups.
Handle project-wise accounting, government contract bills and documentation.
Coordinate with CA, auditors, banks, clients and vendors.
Prepare MIS, cash-flow and outstanding reports.
Ensure proper documentation and timely compliance.
📌 Accountant (Navi Mumbai)
🏢 Alliance Buildcon
📍 Navi Mumbai