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Keywords / Skills : Accountant, "Accounts Executive", "Accounts Executive", "Bank Reconciliation"

1 - 5 years
Posted: 2018-04-02

Industry
FMCG
Function
Finance & Accounts
Role
Accountant
Education
BCom
Posted On
2nd Apr 2018
Job Description
Preparing Payment, Salary Cheques, Petty Cash Vouchers & Receipts Preparing Bank Reconciliation Statement.
Calculation of TDS & online Payment of TDS.
Making Purchase, Sales & Service Bill Entries in Tally.
Expense and other accounting entries in Tally.
Accounts Payable Ledger reconciliation.
Employee loans and advances payments & ledger reconciliation.
Working of taxes payable.
MIS reporting on half monthly/monthly basis.
Assisting in Sales Purchase Reconciliation & Balance sheet Workings.

About Company

Our company is involved in providing corporate services in different areas. Our company is a 25 years old established company promoted by professionals & working with well known companies.

Our company is involved in providing corporate services in different areas including Accounts, Finance, Customer Support, Logistics, Back Office, Export.

The Company has an experienced and professional Board of Directors, with extensive experience in wide range of Consulting and Corporate Advisory services.


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