05 Oct
|
Formistree
|
Hyderabad
05 Oct
Formistree
Hyderabad
We are looking for a detail-oriented Accountant with hands-on experience in Tally Prime, bank reconciliation, cash management, payment tracking, and day-to-day accounting operations.
Key Responsibilities:
- Manage daily bank transactions, cash transactions, and Bank Reconciliation (BRS).
- Maintain accounting records and Receipt, Payment, Contra & Journal vouchers in Tally Prime.
- Track and reconcile candidate/client payments, receivables and outstanding amounts.
- Maintain accurate payment and accounting data in Google Sheets/Excel.
- Verify bank transactions against Tally and internal records.
- Handle payment-related coordination with internal teams.
- Maintain ledgers, supporting documents and financial records accurately.
- Prepare, calculate, and file GST returns and ensure timely GST compliance.
- Calculate TDS, maintain TDS records, prepare and file TDS returns, and ensure timely TDS compliance.
- Assist with PF & Professional Tax (PT)
compliance/filings as required.
- Identify discrepancies and ensure timely correction of accounting records.
Required Skills
- 12 years of relevant accounting experience.
- Hands-on experience with Tally Prime.
- Positive knowledge of Bank Reconciliation (BRS).
- Experience in banking, cash handling, payment tracking and receivables.
- Good knowledge of Excel/Google Sheets.
- Hands-on knowledge of GST and TDS calculations and filings.
- Knowledge of accounting vouchers and ledger maintenance.
- Basic knowledge of statutory filings will be an added advantage.
- Strong numerical accuracy, attention to detail and communication skills.
Compensation:
Final compensation will be decided based on previous/current CTC, relevant experience, skill set and interview performance.
📌 Accountant (Hyderabad)
🏢 Formistree
📍 Hyderabad