Accountant

Job Summary

  • Published on: September 01,2024
  • Employment Status: Full time
  • Qualification/Education: Bcom, MCom, CA Inter. Experienced will be Preferred
  • Job Location: Burhanpur HO
  • Gender: Any

Job Description

Accountants are responsible for maintaining accounting records as per Management Needs and MIS and Legal Requirements and complete the compliances relating to taxes and MIS Reports on Timely Basis and with Accuracy.

Responsibilities

  • 1.Accounting and Compliance

    Bank Account Reconciliation like HDFC, SBI, Client Account, Bank OD Account, Group Account, bills and payment, Preparation & Finalization GST return in monthly, Analysis of Debtors & Creditors Management, Stock Maintain as per Requirement, Preparation & finalization GST Returns, TDS returns, PF & ESIC Details. TDS Receivable Reconciliation, GST Reconciliation and Audit and Income Tax Return Filings.

  • 2.Fees Recovery and management

    Fees Billings on Monthly, Quarterly and Yearly basis, Fees Recovery and follow-ups, Client reconciliation of Task and Fees, Fees Sharing Reports on Quarterly Basis.

  • 3.Management Information System

    Quarterly Turnover Targets and Achievements, Fees Recovery Status Weekly, Jamku Reports

  • 4.Files and Folder Management

    Monitoring and Managing Tally Docs, SharePoint Data Proper Arrangement and Hard copy maintain in file.

Education + Experience

  • Bcom, MCom, CA Inter. Experienced will be Preferred

Skills

  • Tally Accounting and Jamku ERP
  • TDS, IT and GST Knowledge
  • MIS Reporting Skills
  • Timely Compliance of GST and TDS
  • Stock Entries and Management
  • Reconciliations BRS, TDS, GST
  • Communication Skills, Recovery Skills
  • Contact Management
  • Computer Skills Excel Workings, Word Letter Drafting.
  • Accounts Finalization, Auditing Coordination and Company Law Compliance

Task and Activities

  • Ensure accurate financial records and compliance with tax regulations.
  • Efficient billing and collection of fees.
  • Track financial performance and recovery status.
  • Maintain organized and accessible financial documentation.
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