Description
Responsibilities:-
Check the day to day accounts.
Handle the Petty cash, customer issues and all reconciliation part for customers.
Preparation of bank reconciliation statement.
Take care of payments, receipts, cash payments, journal entries, sales and purchase entries etc.
Ensures that the Companies records are accurately updated and maintained.
Handle GST Related Entries, TDS Related Entries.
File of GST Return, TDS Return.
Ledger Scrutiny and timely rectifications to maintain correct books of accounts.
Review the accounting reports accounts receivable / accounts payable / petty cash book for accuracy and completeness.
Preparation of Import payment documents and settlement with BOE (Bill of Entry) in bank .
Preparation of Export and import related documents (Payment and Settlement).
Analysis and Preparation of monthly MIS .
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Job Type: Full-time
Salary: ₹25,000.00 - ₹65,000.00 per month
Day range:
Weekend availability
Shift:
Day shift
Travel requirement:
No travel
Ability to commute/relocate:
Jaipur, Rajasthan: Reliably commute or planning to relocate before starting work (Required)
Experience:
Min exp 6 years (Preferred)
Speak with the employer
+91 7849904980