Record and maintain day-to-day accounting entries in Tally Prime.
Handle bank entries, reconciliation, and posting of all receipts and payments.
Prepare and maintain purchase, sales, and expense bills.
Assist in GST computation and filing (GSTR-1, GSTR-3B, etc.).
Basic understanding of TDS deduction, return filing, and reconciliation.
Maintain vendor and customer ledgers and reconcile accounts periodically.
Support in monthly closing, journal entries, and reports.
Prepare reports and maintain records using MS Excel, MS office
Coordinate with auditors and assist in documentation during audits.
Proficiency in Tally Prime
Good working knowledge of GST, TDS, and basic accounting principles
Excel skills (Formulas, Pivot Tables, Data Entry & Reporting)
Attention to detail and accuracy in data entry
Good communication and organizational skills