About this role
Maintain day-to-day accounting records and financial transactions.
Handle purchase, sales, expenses, receipts, payments, and journal entries.
Prepare and maintain invoices, bills, vouchers, and supporting documents.
Manage accounts payable and receivable.
Perform bank reconciliation and ledger reconciliation.
Maintain vendor and customer accounts.
Assist with GST, TDS, and other statutory accounting requirements.
Prepare monthly reports, outstanding statements, and expense summaries.
Coordinate with purchase, stores, dispatch, HR, and management for accounting-related matters.
Maintain proper documentation and records for audits.
Ensure accuracy of entries and timely completion of accounting activities.
Required skills
Steel Plant Accounts Ispat Industry Tally Prime GST TDS MS Excel Ledger Bank Reconciliation Accounts Payable Accounts Receivable Purchase Accounting Sales Accounting Billing Vendor Reconciliation Journal Entries Invoice Processing Financial Reporting Statutory Compliance Audit Support
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2.4 L–3 Lper year
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Sign in Create candidate account ← Back to all jobsExperience2–4 yrs
Work modeOn-site
Locationp&b bank samta colony raipur (C.G.)
Qualificationgraduation, Post graduate
Openings1