Job Description
Job Description
- Ability to handle accounting independently
- Clear fundamental knowledge of Accounting
- Assist CA in monthly Balance Sheet preparation.
- Assist CA in monthly budget preparation and weekly cash flow.
- Maintain complete books of accounts with proper documentation
- Pass purchase, sales, bank, cash and journal entries in Tally
- Handle year-end closing entries including depreciation
- Prepare and file GST returns (GSTR-1, GSTR-3B & Annual)
- Perform GSTR-2B reconciliation and resolve differences
- Handle RCM transactions and GST ITC including capital goods
- Compute, pay and file TDS returns (quarterly)
- Manage bank reconciliation (BRS) and discrepancies
- Support tax audit and year-end audit;
coordinate with CA - Perform sales and purchase ledger reconciliation
- Basic knowledge of import/export documentation (BOE, Shipping Bill) for accounting purpos...
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