Responsible include but not limited to General accounting, Finalization of account, Finance and Commercial matters related to the trading.
    Analyzing and investigating annual and monthly financial accounts
      To Prepare - Purchase Bills/sales bills with ref of Po & So, Debit/Credit Notes,
      Cash exp bills / vouchers /Bank entries, stock journal entries, provision entries.GRN entries
      Petty cashMaintain record of all day to day expenses & controlling day to day accounting, check Employees expense reports for reimbursements, Bank Reconciliation Statements,
      Bills receivables & Bills payables management 
      Make Payment to sundry creditors as per credit period policy of company, As well As Keep the track of pending payment of sundry debtors and follow up with Recovery staff,

      Audit Warehouse : Audit of warehouse weekly basis- to check all exp bills ,vouchers, Physically check inventories of Purchase materials as per system record,
      Payroll process- To make sure the perfection of Attendance Registers, Salary Statements, deduction- Advances ,PT, PF of Employees and Employee
      Monthly MIS
      Tax/VAT: -Calculation, Preparation summary & upload E- Returns

      Vat Audit Assist to A/c Manager for prepare necessary data for annual Vat audit
      Calculation, Preparation summary & upload E- Returns
      Service Tax: Preparation summary of input/output service tax & give to A/c Manager for payment of service tax and E Return ST3
      Finalization of accounts : Assist to Head of Finance for preparation of Annual Balance Sheet, P&L A/c
      2+ years experience

Post a Comment