Company Name - Artha Energy Resources
Job Title: Jr. Accounts Executive Payables
Job Summary: They must know how to handle the "Procure to Pay" cycle within Tally, Reconciliation and Cash Flow accuracy.
Location:- Surya Mahal, No.5, 1st floor, Building, B Bharucha Rd, Kala Ghoda, Fort, Mumbai, Maharashtra 400001
Experience:- 0 to 2 years
Key Responsibilities:
1)Master Creation (Ledgers & Groups):
- Sundry Creditors: Creating vendor ledgers with correct GSTIN, PAN, and Address details.
- Bill-wise Details: Activating "Maintain Balances Bill-by-Bill" to track specific invoice payments.
- TDS Setup: Configuring "Is TDS Deductible" in vendor ledgers (e.g., 194C for Contractors, 194J for Professional Fees).
- Bank Ledgers: Configuring Cheque Books (ranges), Cheque Printing formats, and activating Auto-Reconciliation features
2)Transaction Processing (Vouchers):
Purchase Voucher (F9):
- Difference between "Item Invoice" (Inventory/Material) and "Accounting Invoice" (Service/Expenses) modes.
- Entering Supplier Invoice No. and Date correctly for GST matching (GSTR-2A/2B).
- Allocating Cost Centers (e.g., Project A, Site B) while booking expenses.
3) Payment Voucher (F5):
- Using "Agst Ref" (Against Reference) to link payments to specific pending invoices.
- Printing Cheques directly from Tally (Cheque Printing Configuration).
4) Debit Note (Alt+F5 / Ctrl+F9): Booking Purchase Returns or GST reversals for rejected goods.
5)Contra Voucher (F4):
- Recording Cash Deposit (Cash -> Bank) and Cash Withdrawal (Bank -> Cash).
- Recording Fund Transfers between two company bank accounts.
6)Bank Reconciliation Statement (BRS):
- Manual BRS: Entering "Bank Dates" manually against Tally vouchers to tally the balance.
- Auto BRS: Importing Bank Statements (Excel/XML) into Tally to auto-match entries.
7)Post-Dated Cheques (PDC):
- Marking vouchers as "Post-Dated" (Ctrl+T) so they don't affect the current balance until the date arrives.
8) Reporting:
- Generating Cash Book and Bank Book reports.
- Generating Negative Cash warnings (checking if cash went negative on any specific date).
- Printing Payment Advice slips to send to vendors after making a transfer.
9)Reporting & Compliance:
- Generating Ageing Analysis (0-30 days, 30-60 days) for Creditors.
- Checking GSTR-2 reports in Tally to see mismatched invoices.
- Extracting the Purchase Register (Columnar view) for monthly analyst
Ideal Candidate Profile
Education: B.Com/ M.Com or equivalent degree in Finance/Accounting.
Experience: Fresher - 2 years
Personal Attributes: Confident, detail-oriented, self-motivated, and a sharp observer
If you have any further questions or need further assistance, please Mail on hr.recruiter2@artha.green
Job Type: Full-time
Pay: ₹120,000.00 - ₹240,000.00 per year
Benefits:
Application Question(s):
- What is the number of bank entries booked per month by you?
- What is the rate of TDS deduction under section 194C and 194J?
Work Location: In person