Key Responsibilities:
Maintain daily accounting entries in Tally
Prepare and record bank entries and perform bank reconciliation
Handle billing, invoicing, and receipt entries
Maintain ledgers, vouchers, and journal entries
Manage stock entries and inventory records
Record and verify measurements for billing and stock purposes
Handle bank work including cheque deposits, payments, and follow-ups
Assist in export-related accounting and documentation
Support audits and ensure accurate financial records
Required Skills & Qualifications:
2–3 years of experience in accounts
Mandatory knowledge of Tally
Experience in billing, ledger management, and bank reconciliation
Understanding of stock management and measurement entries
Knowledge of export accounting/bank work preferred
Attention to detail and good organizational skills