Microsoft Excel Cash HandlingBookkeepingBank ReconciliationGST Return
Post and process journal entries to ensure all business transactions are recordedUpdate accounts receivable , issue invoices, payable and perform reconciliationJournal voucher entryExpense Bill Entry and FillingBank Receipt EntryBank and Party ReconciliationKnowledge of TDS ,IGST, GST etcHandling of Petty Cashinterested candidate can mail your Cv at hr@apha.in 7046041717
Full time accountant required to handle all aspects of accounting in a trading firm. Job role will include task like: sales and purchase bill entry, monthly filing of GST returns, quarterly filing of TDS returns, finalizing account books for all related individuals of the firm.We are looking for candidates suitable for moderately challenging work with highly adaptive nature who can get grasp of business quickly to perform accordingly.