Job Description
- Compile, analyze & prepare financial statements including monthly, annual A/c prepare journal entries
- Day to day bank and cash entries
- Bank reconciliation
- Prepare & fileTDS Return & issue certificate
- Administer receivable and payable A/c
- Day to day sale/purchase entry
- Passing journal entries
- Experience in Service Tax, ESI, PF, Salary Processing, Tally, Daily accounting, Project Accounting , Finalization of Balance Sheet, Ledger Accounts & Income tax returns