
Account Executive
2 weeks ago
**Job description**
**Tax Compliance**:
- Tax Compliance: Handle GST R1 and GST 3B returns, including TDS payments and quarterly returns.
- Ensure compliance with TDS regulations and process payments accordingly.
**Bank Documentation and Coordination**:
- Manage bank-related documents and coordinate with financial institutions.
- Oversee reconciliation and maintenance of company bank accounts.
**Statutory Compliance**:
- Handle ESIC and PF processes, ensuring adherence to statutory requirements.
**Tally Data Management**:
- Prepare and manage data in Tally for accurate financial reporting.
**Audit Preparation**:
- Assist in company audits, ensuring documentation is complete and accurate.
**Petty Cash Management**:
- Maintain and reconcile petty cash transactions.
**Vendor Payments**:
- Process payouts for consultants and ensure timely payment of monthly expenses.
- Raise invoices and track payments.
**Reconciliation and Record Keeping**:
- Perform reconciliation and maintain accurate records for financial transactions.
**MIS**:
- Excellent Knowledge of Excel with AI Tools.
- Extract reports from Tally and tabulate and interpret them as per management/Vendor requirement
Pay: ₹20,000.00 - ₹25,000.00 per month
Schedule:
- Day shift
Work Location: In person
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