01Overview
Preferred
Location - Chandigarh
Financial Reporting & Ledger Management
Knowledge of Gst , Tds , Billing , Accounting Software like Tally Prime.
Coordinate with Internal & External Auditor
Ledger Reconciliation , Party ledger management
Bank Reco
Gst Date Prepare for CA / Advocate for GSTR-01 & 3B Etc.
Prepared monthly and annual financial statements, including balance sheets and income statements, ensuring complete accuracy.Managed general ledger operations, journal entries, and account reconciliations.Conducted monthly bank reconciliations to spot and fix discrepancies quickly.Accounts Payable, Receivable & Payroll
Processed accounts payable and receivable transactions, improving cash flow tracking.Reconciled vendor statements and customer accounts to maintain clean ledgers.Assisted with payroll processing, wage calculations, and deduction tracking.Compliance, Audits & Analysis
Ensured adherence to local tax laws, statutory filings, and accounting standards.Supported internal and external audits by organizing financial records and documentation.Send your CV on 62848-29881
Compensation: 10,786.43 - 30,000.00 per month
Work Location: In person .