Description
Job description: -*We HAVE URGENT OPENING. •Posting Sales and Purchase Bills.•Reconciling Inventory in Books as per movement of goods.•Reconciliation of Ledgers (Payables, Receivables, Stock, Sales, Purchases, Statutory etc.)•Supplying documents as and when required for Audit purposes.•Jotting/Vouching of all ledger accounts and maintenance of Asset Register after physical verification.•Bank and Cash Reconciliation on daily basis.•Day to Day accounting of Cash and Bank ( foreign currency accounting ) .•Knowledge of TDS, CST/VAT, GST and Income Tax.