Job Description
Accounting Responsibilities
General Ledger & Financial Statements
- Making entries in general ledger and preparing journal entries.
- Preparing balance sheets and profit and loss A/c.
- Successfully finalizing statements and performing internal audits.
Voucher & Reconciliation Management
- Preparation and checking of payment & receipt vouchers.
- Preparing bank & vendor reconciliation statements.
Cash & Petty Cash Handling
- Handling routine cheque disposal tasks.
- Handling site petty cash transactions.
Taxation & Compliance
- Monitoring and supporting taxation issues.
- Online customer stamp duty & registration payments
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