19 Oct 2022
NEFT, Debtors, accounting, Finance, Tally, Bank Reconciliation, Statutory Audit, Vendor Payments
Experience: 2 to 6 years
- Reconciliation of Bank Statements , Debtors & Creditors on daily basis
- Accounting & Follow-up of Trade Receivables and Trade Payables.
- Maintenance of Petty Cash Book.
- Need to do the vendor Payments.
- Assist with day-to-day operations of the Finance department, including filing, report generation, budget review, etc.
- Good Knowledge of Statutory Compliances like GST, TDS, working with return file.
- Knowledge of Accounting and Statutory Payment
- Knowledge of import purchase and sale entry.
- Banking Knowledge of NEFT, RTGS.
- Basic Knowledge of Accounting Software i.e. Tally Prime , & MS Office.
- Need to work on monthly salary .
- Knowledge of import purchase and sale
- Ability to complete tasks while maintaining all confidentiality requirements.
19 October 2022