Neon & Co.
Jul 17, 2018
Full time
Job description Ful knowlage of GST. Tally. Return of TDS,EST. Prepare financial Statement. Bank Reconciliation. Salary calculation. Interacting with bank. Reconciliation of bank ,Customers accounts & supplier accounts. Accounting cash ,Bank transaction & costumer collection. Managing account. Preparing for Finalization of Annual accounts. Online filling monthly , half yearly , annual return to GST, TDS etc. Checking stock statement and entries of raw materials and finish goods monthly. Daily checking cash & found flows. Checking entries and arranging payments to Accounts payables as per credit terms and for all daily and monthly expenses bills. Checking Debtors entries age wise and follow up founds. Submitting monthly costing sheet to the management. Working with external auditors during reviews and audits to ensure full cooperation from accounting staff and compliance with all qualified requests.