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

Ready to Apply?

Take the next step in your AI career. Submit your application to Turtlemint today.

Submit Application