Maintain day-to-day books in Tally Prime: sales, purchases, journals, payments, receipts and contra entries
Keep debtor and creditor ledgers up to date, and reconcile them with parties every month
Do bank reconciliation for all accounts, weekly or more often
Manage petty cash and the fixed asset register
Book and check vendor bills against POs and GRNs
Process employee reimbursements and expense claims, and check supporting documents
Keep a payables schedule and prepare payment runs for approval
Deduct TDS correctly on vendor paymentsRaise GST-compliant tax invoices, credit notes and debit notes, and generate e-invoices and e-way bills where they apply
Track receivables and follow up on overdue payments
Record online store and marketplace sales accuratelyPrepare data for GSTR-1 and GSTR-3B and file them on time; reconcile ITC with GSTR-2B
Prepare TDS returns (24Q/26Q) and issue Form 16A; reconcile with 26AS/AIS
Complete the month-end close: accruals, provisions, and a trial balance that ties out
Prepare MIS reports: sales, expenses, receivables ageing, payables ageing and cash position
Coordinate with statutory and internal auditors, and prepare schedules
📌 Accountant (Surat)
🏢 Emerge The Inside Out
📍 Surat
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