- Maintain day-to-day accounting records in Tally Prime.
- Handle sales and purchase entries, invoicing, and accounting transactions.
- Maintain and reconcile ledgers, accounts payable and accounts receivable.
- Perform bank reconciliation and daily accounting activities.
- Assist with GST and TDS calculations, records, and compliance-related activities.
- Verify invoices, vouchers, bills, and supporting documents.
- Maintain accurate financial records and documentation.
- Prepare basic accounting reports and MIS using MS Excel.
Key Skills:
- Tally Prime & MS Excel
- GST & TDS knowledge
- Sales/Purchase entries & invoicing
- Ledger, payable & receivable management
- Bank reconciliation & daily accounting
- Valuable communication + attention to detail + positive attitude required.