JD
Maintain day-to-day accounting records and financial transactions.
Pass and verify journal entries, purchase, sales, receipt, and payment entries.
Handle accounting work using Tally / Tally Prime.
Prepare and maintain Bank Reconciliation Statements (BRS).
Prepare and maintain Cash Flow Statements and other financial reports.
Prepare and file GST Returns, including:
GSTR-1
GSTR-3B
GST reconciliation and basic compliance work
Handle TDS-related work, including:
TDS calculation
TDS return preparation and filing
TDS reconciliation
Assist in Income Tax Return (ITR) preparation and filing for individuals, firms, and businesses.
Maintain and update financial records using MS Excel.
Assist in ledger scrutiny, expense verification, and account reconciliation.
Support the CA in tax audits, statutory audits, and other accounting assignments.
Assist with preparation of financial statements, schedules, and supporting documents.
Maintain proper documentation and records for accounting and compliance purposes.
Perform other accounting and compliance-related tasks as assigned by the CA.