Key Responsibilities:
- Manage and record daily company expenses and maintain proper documentation.
- Handle bank account operations including deposits, withdrawals, transfers, and reconciliations.
- Prepare and maintain cash flow statements, petty cash, and bank reconciliation statements.
- Process and record vendor payments, staff reimbursements, and utility bills.
- Assist in budget preparation, expense control, and cost analysis.
- Maintain accurate accounting records in Tally / ERP or other accounting software.
- Coordinate with banks for transactions, cheque clearance, and related financial activities.
- Support in preparation of financial reports, balance sheets, and P&L statements.
- Ensure compliance with statutory regulations (TDS, GST, etc.) in coordination with accountants or auditors.
- Manage financial data filing and documentation for audits.
- Provide management with timely updates on financial position and liquidity.
Required Skills and Qualifications:
- Bachelor’s degree in Commerce, Finance, or Accounting (B.Com / M.Com / MBA Finance preferred).
- Minimum 2–5 years of experience in accounting and finance.
- Strong knowledge of banking operations, expense management, and accounting principles.
- Proficiency in Tally / MS Excel / ERP software.
- Excellent attention to detail, accuracy, and analytical skills.
- Good communication and organizational skills.
Job Type: Full-time
Pay: ₹35,000.00 - ₹45,000.00 per month
Work Location: In person