nichetree
Accounting Manger
Job Description
Heat Exancher Manifacturing Unit
Purchase, Sales Bills, Credit & Debit note & Capital Goods Entry in Tally ERP 9 System. Handling Bank Transaction Entries. Handling Sub-Contractors Accounts & there TDS. Supplier Ledger Reconciliation. Customer Ledger Reconciliation. Bank Ledger Reconciliation. Handling Bank & OD Bank Accounts. Handling Employee Salary Account. Contra Entries, JV Entries & Maintaining Day to day Accounting. Solving Mismatch Entries in Tally. Having Knowledge about GSTR Filing Follow up of p
Manufacturing Industry | 5 – 6 Lakhs/annum