Posted By
Posted in
Banking & Finance
Job Code
1157722
- 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 Company's records are accurately updated and maintained.
- Handle GST Related Entries, TDS Related Entries.
- The 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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Posted By
Posted in
Banking & Finance
Job Code
1157722