Jobs Description :
Roles and Responsibilities
1. Maintain accounts in accounting software.
2. Ensure accounting transactions with supporting documents and identifying the correct accounts heads, Revenue v/s Capex, treatment of prepaid & outstanding liabilities etc
3. Bank Reconciliation immediately after the month end.
4. Making payment vouchers, Cheques, Invoices, Receipts etc.
5. Allocation of petty cash expenses after reimbursements.
6. Handling petty cash.
7. Debtors follow up as and when required.
8. Monthly filing if GST returns.