1 This Position is responsible for maintaining all types of accounts timely payment of due bills and proper handling of TDS GST etc 2 Maintenance of Computerised Account Books in Tally 9 ER
Finalization of accounts Compliance work Co Ordinating with Auditors Coordinating work with the team members and handling them
Job Responsibilities Daily Bank Reconciliation Expenses Bill Booking Vendor Payment through Cheque NEFT RTGS Inter Bran