Manage end-to-end accounting operations with accuracy, ownership & business awareness, ensuring timely vendor payments, financial reporting, and compliance.
Key Responsibilities
1️ Vendor Accounting & Reconciliation
- Book purchase invoices, credit notes & debit notes accurately
- Manage vendor outstanding statements and reconcile regularly
- Ensure GRN matching with warehouse & resolve disputes
- Track due dates and prepare weekly vendor payment plan
2️ Expense & Margin Control
- Record & verify marketing spends, logistics costs, service charges
- Monitor product margins & raise mismatches to management
- Help in cost optimization and highlight unnecessary expenses
3️ Taxation & Compliance (with CA firm)
- GST input reconciliation & filing support
- TDS deduction, return filing support & certificate issuance
- Maintain statutory documents & audit-ready records
4️ Banking & Cash Flow Support
- Daily bank reconciliation and cash balance reporting
- Track customer refunds, payment gateway settlements
- Prepare payable & receivable ageing analysis
5️ Reporting & MIS
- Daily Sales vs Collection report
- Inventory valuation & ageing support
- Brand/category-wise margin visibility
- Assist in month-end closure & financial statements
Job Type: Full-time
Pay: ₹20,000.00 - ₹30,000.00 per month
Work Location: In person