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Job Responsibility:-
❖ Daily Maintain Books Of Accounts.
❖ Stock Reconciliation of all stores & Events.
❖ Bank related all work & Cash Related all work.
❖ Inventory Control, Stock Maintenance & Stock auditing.
❖ TDS Related all work & Return Filing, Sale reconciling
❖ GST Related all work.
❖ GSTR 3B & GSTR 1 Calculation & Return Filling.
❖ Reconciliation of 3B Bill with Books of Accounts.
❖ Reconciliation of R-1Bill with Books of Accounts.
❖ Reconciliation of 2A with purchase in Books of Accounts.
❖ Reconciliation of Debit / Credit notes.
❖ Reconciliation of input tax with 2A + 3B as claimed with Goods & Services with details & Reconciliation of output tax with R-1 & Books of Accounts.
❖ HSN wise details of purchase & sale.
❖ Summary of all Reconciliation & job work Return ITC 04
❖ Reconciliation of E-way Bill inward & outward.
❖ GST Annual Return GSTR 9 & Reconciliation GSTR 9C
❖ Updating of Customer accounts such as outstanding dues segregate by days outstanding 30 days, 60
days, 90 days and above
❖ GST Reconciliation Cash & Credit ledger.
❖ Balance Sheet
Job Type: Full-time
Pay: ₹36,000.00 - ₹40,000.00 per month
Experience:
Work Location: In person
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