Position Overview
Job description
13.3333px; background-color: rgb(255, 255, 255);> I. Job Description:
Posting all journal entries and ensuring accuracy in records.
Generating and scrutinizing the trial balance for financial reporting.
Calculating and verifying TDS deductions, payments, and returns, including
corrections or revisions.
Calculating and verifying GST payments and returns (including GSTR 1, 6, 3B, 9, 9C).
Reconciling GSTR 3B and 2B to ensure compliance.
Managing Accounts Receivable, including client receipt entries and adjustments
of TDS receivable.
Preparing client statements as per standard formats and reconciling client ledgers.
Managing Accounts Payable, including verifying vendor invoices against
POs/Work Orders and recording invoices.
Handling TDS accounting and vendor ledger reconciliation. Must have
knowledge of working aspects of TDS (sections 192, 194, 195 of Inc...