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Job description
Day to day accounting & Bank Reconciliation
Maintain account books and relevant documents.
Expertise knowledge of Tally ERP9
Efficient in MS Excel/Word & MIS
Preparation of weekly and monthly Labour Bills.
To maintain a proper control sheet of all subcontractors / vendors in excel and reconciliation of party accounts quarterly.
To prepare monthly MIS and cash flow of the site.
Maintain books of Accounts payable and Account receivable
Detailed Preparation of TDS Statement and filing.
GST Detail preparation and filing monthly and annually.
Knowledge of preparation of E-Invoice and E-Way Bill.
Knowledge of GSTR 3B/2A/2B reconciliation and preparation of GSTR-9
Handling statutory matters with various departments such as Income Tax /GST/ TDS.
Working experience in Real Estate maintenance company Customer receipts and Expenses.
Scrutiny & Certification of Purchase bills related with Contracts, Projects, & related payment
Knowledge of Intercompany reconciliation.
RERA compliances under RERA Act like Form 3, Form 4, and Form 5.
Experience in the construction and real estate sector will be preferred.
Ability to work and effectively communicate with senior level.
Knowledge of financial reporting and data mining tools.
5-15 years of experience in accounting and/or financial analysis
TDS, GST, Day to day accounting, Bank Reconciliation, Tally ERP9, MS Excel/Word, GSTR 3B/2A/2B, GSTR-9, Customer receipts, Accounts payable, Account receivable, E-Invoice, E-Way Bill, Contracts receipts, real Estate, Intercompany reconciliation, RERA Act, financial reporting.
Chartered Accountancy (C.A), Chartered Accountancy Inter (C.A Inter)
Job ID: 143002719