Full Job Description
Daily Vouchering/Expenses & filing Daily cash & bank book updating, reconciliation Raising invoices Party Ledger – vendor/suppliers & franchises Managing receivables (incl follow-ups) & payables Cash & fund flow statements Banking – depositions & withdrawals, Petty Cash Management Tenders update coordination with employee regarding bills & reimbursement Project Accounting.GST Filing Payroll Processing incl PF, ESI Trade Licence, Corporation Tax, Electricity/Water Bill etc payments & renewals Liasoning with company’s CA, CS, Govt Authority as & when required by companyStock management & reconciliation, Order Booking , New PO to vendor Maintaining & Managing BOQ Order management & lesioning with suppliers/franchise for earliest delivery/dispatch of stocks Logistics/courier management for both inbound/outbound stocksHelp the directors in daily operations as & when required by them Help the directors in daily appointments, market visits, itinerary management Ticketing, hotel/car booking for director’s outstation visits as per business requirementsContract length: 60 monthsExpected Start Date: 25/8/2021Job Types: Full-time, ContractSalary: ₹15,000.00 – ₹25,000.00 per monthBenefits:Cell phone reimbursementCommuter assistanceLife insuranceSchedule:Day shiftSupplemental Pay:Performance bonusEducation:Bachelor’s (Preferred)Experience:Accounting: 2 years (Preferred)total work: 1 year (Preferred)Language:English (Preferred)Work Remotely:NoSpeak with the employer+91 9937049671