A. Responsibilities – Fresher / Junior Accountant
The candidate will be responsible for day-to-day accounting and administrative activities, including:
Recording normal journal entries and maintaining day-to-day accounting records.
Recording sales and purchase entries accurately.
Maintaining cash and bank transactions.
Recording and maintaining payments and receipts.
Preparing and maintaining invoices, bills and supporting documents.
Filing and maintaining accounting documents, vouchers and bills in an organised manner.
Maintaining customer and supplier ledgers.
Assisting in bank reconciliation and checking bank transactions.
Maintaining petty cash records.
Assisting senior accountants in GST, TDS and other statutory compliance work.
Entering and maintaining data in Tally/ERP and Excel.
Checking accounting entries and supporting documents for accuracy.
Assisting with documentation required for audits and tax filings.
Maintaining proper physical and digital records of accounts-related documents.
Handling routine office administrative and documentation work as assigned.
Coordinating with customers, suppliers and internal staff for required bills, invoices and payment-related documents.
Performing any other accounting or administrative duties assigned by management.
B. Responsibilities – Experienced Accountant
The experienced candidate will be expected to independently handle accounting, taxation, compliance and financial reporting activities, including:
Accounting & Financial Records
Complete day-to-day accounting and bookkeeping.
Recording and verification of sales, purchases, receipts, payments and journal entries.
Maintaining customer, supplier and general ledgers.
Preparing and reviewing Bank Reconciliation Statements (BRS).
Monitoring outstanding receivables and payables.
Maintaining accurate books of accounts and ensuring timely posting of all transactions.
Reviewing accounting entries prepared by junior accountants and ensuring accuracy.
GST & Tax Compliance
Preparation and filing of GSTR-1 and GSTR-3B.
Reconciliation of GST data with books of accounts and invoices.
Checking GST input/output records and identifying discrepancies.
Handling ITR filing and related documentation.
Handling company ITR filing and coordinating with tax professionals/consultants wherever required.
Assisting with income tax, GST and other statutory compliance requirements.
Coordinating with auditors, CAs and tax consultants for statutory filings and assessments.
Financial Statements & Reporting
Preparing provisional and estimated financial statements/data.
Preparing CMA data for banking and finance requirements.
Preparing and maintaining data required for audited balance sheets.
Coordinating with Chartered Accountants and auditors for finalisation of accounts.
Preparing financial information and reports as required by management and banks.
Ensuring books and supporting documents are properly maintained for audit purposes.
Company & Statutory Work
Handling documentation and coordination related to company/firm creation and registration.
Maintaining statutory and corporate records.
Coordinating with CA/CS/legal professionals for company-related compliances and documentation.
Assisting in preparation of documents required for bank facilities, loans, CC limits and other financial requirements.
Payments, Receipts & Banking
Managing and recording payments and receipts.
Monitoring bank transactions and ensuring proper accounting.
Preparing payment-related documentation.
Following up on outstanding payments and receivables.
Coordinating with management for payment schedules and banking requirements.
Team Coordination
Supervising and coordinating with junior accountants/accounts staff.
Checking work completed by junior accounting staff.
Guiding junior team members on accounting entries, documentation and filing.
Ensuring all accounting work is completed accurately and within timelines.
General Admin Responsibilities
Maintaining proper physical and digital filing systems.
Maintaining important company documents and records.
Coordinating with internal departments, vendors, customers, banks, CAs and other professionals.
Handling general office administration and documentation as required.
Maintaining confidentiality of company financial and business information.
Performing other accounting, finance and administrative duties assigned by management.