Job Description
Key Responsibilities
Maintain daily accounting entries in Tally/ERP.
Handle accounts payable and accounts receivable.
Prepare and process sales purchase invoices.
Perform bank reconciliation and vendor reconciliation.
Assist in GST, TDS, and other statutory compliance.
Maintain petty cash records.
Support month-end and year-end closing activities.
Organize and maintain financial documents and records.
Coordinate with vendors, auditors, and internal teams.
Assist senior accountants with additional tasks when needed.
This job is provided by Shine.com