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To work in mid sized manufacturing firm
• Accurate entry of receipts, payments, purchase bills, and journal vouchers
• Maintain day books and ensure all entries are posted on the same day
• Maintain petty cash float for the unit
• Verify vouchers, supporting bills, and perform daily reconciliation
• Verify vendor invoices against purchase orders
• Ensure timely entry in ERP/Tally
• Highlight discrepancies to the reporting manager
• Assist in daily bank reconciliation
• Match bank statements with ledger entries
• Identify and report unmatched transactions
• Coordinate with stores team for stock inward/outward entries
• Ensure inventory records are updated and accurate in the system
• Compile purchase and sales data for GST return filing
• Verify HSN codes, tax rates, and invoice accuracy before submission
• Collect attendance data and support payroll processing
• Maintain records for PF, ESI, and PT deductions
• Maintain organized physical and digital records of invoices and vouchers
• Ensure documents are easily retrievable for audit and reference
• Assist during internal and statutory audits
• Support stock verification and prepare count sheets
• Perform any other accounting or administrative tasks assigned by management
If you want, I can:
✔ Convert this into a Job Description (JD)
✔ Merge this with your Senior Accounts role for hierarchy clarity
✔ Add KPIs / performance metrics for this role
Bachelor of Commerce (B.Com), Master of Commerce (M.Com)
Job ID: 146928331