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Accountant Female Jobs in Bandra East

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Accounts Executive (Full Time) (Only Females)

Zeev HR Consultants & Placement Services

Accounts Executive Accountant Account Manager
Key Responsibilities:J.V Entries: Record and maintain accurate J.V entries in accordance with company procedures.Excel Data Management: Update and maintain data in Excel spreadsheets, ensuring accuracy and completeness.Documents Filing: Organize and maintain physical and electronic accounting records and documents.Cash Vouchers: Manage and process cash vouchers, ensuring compliance with internal controls.TDS Calculations: Calculate and deduct TDS for invoices and payments as per tax regulations.Bank Entries in Tally: Record and reconcile bank transactions in Tally ERP software.Mailing: Handle correspondence and communication related to financial transactions and inquiries.Invoicing: Prepare and maintain invoices using Excel, ensuring accuracy and completeness.GST Returns: Assist in preparing and filing GSTR-1 and GSTR-3B returns.TDS Working: Prepare TDS workings and ensure timely deposit and filing.GST Reconciliation: Reconcile GST transactions and accounts to ensure accuracy and compliance.TDS Reconciliation: Conduct periodic reconciliation of TDS accounts and resolve discrepancies.Requirements:Bachelors degree in Accounting, Finance, or a related field.Proven experience as an Accounts Executive or similar role, with knowledge of accounting principles and practices.Proficiency in accounting software (e.g., Tally ERP), MS Excel, and other MS Office applications.Strong understanding of GST and TDS regulations and calculations.Excellent organizational and time-management skills.Attention to detail and accuracy in data entry and analysis.Ability to work independently and collaboratively within a team.
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Account Assistant (Female)

All India Institute of Local Self Government

  • 1 - 2 yrs
  • Bandra East Mumbai
Bookkeeping Accounting Account Assistant
Maintain daily records of financial transaction in simple and F.A account packages (software) Manage, develop, and maintain all aspects of accounting, data processing of the institute and its centers. Working on financial transactions of various banks Maintain and prepare budget reports, preparing periodic reports that compare budgeted costs to actual costs. Maintain manual reports of cash receipts, petty cash and cheques issue to the vendors Inspect account books and accounting system of the center Organize and maintain financial records Maintain records of vendor payments Maintain income and expenditure records of projects
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