1.GST, TDS, Monthly quarterly filing and input reconciliation .
2.Preparation of Cash Collection Report Store Wise All Stores Day to day
3. Preparation of Sale Vs deposits Daily Base and Publish the Reports.
4. Ensure to Clear all discrepancies Cash deposit related and ensure 100% Collections.
5. Ensure to Process all Store Petty cash Bills and reimbursements on time
6. Preparation Accounts Payable cheques and their reconciliation
7 Statement and Bank confirmation. Preparation of Bank Reconciliation
8. Confirmation from Debtors and Creditors as to their balances
Job Type: Full-time
Salary: ₹25,000.00 – ₹40,000.00 per month
Schedule:
Ability to commute/relocate:
Education:
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+91 8688022050
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