Maintain accurate GST records and ensure timely filing.
Verify and reconcile GST transactions for compliance.
Petty Cash Management:
Manage petty cash fund and process requests.
Reconcile transactions and maintain proper documentation.
Tally Accounting:
Use Tally for financial record-keeping.
Generate reports and assist in financial statement prep.
Data Entry Reconciliation:
Accurate data entry and bank reconciliation.
Investigate and resolve discrepancies.
Qualifications:
Bachelors degree in Accounting or Finance.
Proficiency in Tally software and GST regulations.
Attention to detail and organizational skills.
Strong problem-solving abilities.
Good communication and teamwork skills.
This role is vital for maintaining financial accuracy and compliance in our immigration company. If you meet the qualifications, apply to contribute to our financial health and success.