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Roles and Responsibilities:
1. Taking responsibility for the planning and executing financial duties and projects of the company.
2. Preparing financial statements, reports, and forecasts for the business to ensure financial stability.
3. Drafting budgets, income statements, balance sheets, tax returns, and reports required by regulatory authorities.
4. Compiling financial reports and supervising monthly, quarterly and annual closings.
5. Should have good knowledge of GST and TDS compliance.
6. Ensure timely bank payments.
7. Phone calls & Follow Ups- Suppliers regarding pending material & payments, Clients in regards to pending payments.
8. Prepare corrective entries on Tally and Daily tally entries.
9. Petty cash Handling for different accounts on a monthly basis. Submit monthly report on cash and cheque payments.
Requirements:
1. Must be a graduate (B.com/BBA) or Masters in Accounting is preferred.
2. Understanding of accounting and financial principles.
3. Aptitude for math, proficiency in Tally and Microsoft Excel.
4. Strong verbal and written communication skills.
5. High level of efficiency, accuracy, and responsibility.
6. Must be comfortable in commuting within the city for office work.
7. Motivation and a strong desire to take on new challenges and learn as much as possible.
Job Type: Full-time
Pay: From 15,000.00 per month
Benefits:
Schedule:
Ability to commute/relocate:
Education:
Experience:
Work Location: In person
Date Posted: 14/11/2024
Job ID: 100382397