Key Responsibilities:
Managing day-to-day accounting tasks – Ensuring accurate and timely processing of financial transactions.
Preparing financial statements and reports – Compiling monthly, quarterly, and annual financial statements for review.
Handling accounts payable and receivable – Managing invoices, payments, and collections to maintain positive cash flow.
Reconciliation of bank statements and financial records – Ensuring that all bank transactions are reconciled and discrepancies are resolved.
Tally entries and data entry for financial transactions – Efficiently entering and tracking financial data in the accounting system.
Ensuring compliance with GST and TDS regulations – Assisting in GST filings and ensuring TDS compliance.
Assisting in audits and tax filings – Supporting the preparation and submission of audits, tax returns, and other financial documents.
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