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Job Description:
1. Financial Management
· Manage GST and TDS filings, ensuring compliance with tax regulations using accounting software.
· Coordinate with the Chartered Accountant (CA) for financial reporting, audits, and tax planning.
· Handle employee salaries, payroll processing, deductions, and maintain salary records using accounting software.
· Monitor cash flow, budget allocation, and financial transactions using accounting software for accuracy and transparency.
· Prepare financial statements, including balance sheets, profit and loss statements, and cash flow statements using accounting software.
2. Client Relationship Management
· Act as a point of contact for client inquiries related to GST, TDS, and other financial matters
Accounting Software Entries and Financial Records
· Perform accurate entries in accounting software for sales, purchases, and other financial transactions, ensuring proper categorization and documentation.
· Reconcile accounts in accounting software regularly to maintain accurate financial records and identify discrepancies.
· Generate reports from accounting software for management review, including sales reports, expense reports, and financial statements.
· Update entries in accounting software based on financial transactions, adjustments, and corrections as needed.
3. Documentation, Compliance, and Reporting
· Maintain accurate records of financial transactions, client communications, and compliance documentation using accounting software.
· Ensure timely and accurate filing of GST, TDS, and other tax-related documents as per regulatory requirements.
· Monitor and enforce compliance with company policies, accounting standards, and legal regulations using accounting software.
· Prepare financial reports, including monthly financial statements, variance analysis reports, and budget vs. actual reports using accounting software.
4. Collection of Payments
· Follow up with clients for timely payment of invoices and outstanding balances.
· Monitor accounts receivable and aging reports to identify overdue payments and take appropriate actions.
· Coordinate with sales and finance teams to resolve payment issues and discrepancies.
· Maintain accurate records of payment collections and update accounting software accordingly.
· Provide regular updates on payment status and collections to management and relevant stakeholders.
5. Rent Collection and Bank Reconciliation
· Collect rent payments from tenants, ensuring timely and accurate recording in accounting software.
· Reconcile bank statements with accounting records to ensure accuracy and identify discrepancies.
· Monitor rent receivables and lease agreements, following up on overdue payments and resolving issues with tenants.
· Prepare bank reconciliation statements and reports for management review.
· Coordinate with landlords to address rent-related matters.
Job knowledge, skills, and experience:
Education: Bachelor's degree in Business Administration or Commerce
Who Can Apply:
Skills:
Tools to use: Tally Prime (compulsory)
Job Types: Full-time, Permanent
Pay: ₹25,000.00 - ₹30,000.00 per month
Work Location: In person
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