Accountant

Vigilant Technologies

Hyderabad

On-site

INR 600,000 - 900,000

Full time

6 days ago
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Job summary

Vigilant Technologies in Hyderabad seeks an experienced Accountant to independently manage the complete accounting function for our distribution business. The role covers end-to-end accounts, from regular entries to GST, TDS, bank reconciliation and finalization of books with minimal supervision.

The candidate will handle day-to-day banking, petty cash, MIS reporting, and assist with audits and statutory filings.

Qualifications

  • End-to-end accounting responsibilities for distribution business.
  • GST and TDS compliance and filings as required.
  • Bank reconciliation and finalization of books with minimal supervision.
  • Proficiency in Tally/ERP or similar accounting software.
  • Coordinate with auditors and ensure statutory compliance.

Responsibilities

  • Handle day-to-day banking transactions, payments and receipts
  • Perform bank reconciliation on a regular basis
  • Manage petty cash and cash flow tracking
  • Prepare and file GST returns (GSTR-1, GSTR-3B, GSTR-9)
  • Handle TDS deduction, payment, and quarterly return filing
  • Ensure timely compliance with other statutory requirements (PF/ESI if applicable)
  • Coordinate with auditors/CA for assessments and filings
  • Manage accounts receivable and follow up on collections
  • Manage accounts payable and vendor payment schedules
  • Track outstanding dues and aging reports
  • Maintain complete books of accounts in Tally/ERP or similar software
  • Prepare monthly P&L, balance sheet, and MIS reports
  • Assist in finalization of accounts and year-end closing
  • Support internal and statutory audits with required documentation

Skills

End-to-end accounting
GST compliance
TDS compliance
Bank reconciliation
Audit coordination
Accounts receivable
Accounts payable

Tools

Tally/ERP

Job description

Role & responsibilities

We are looking for an experienced Accountant to independently manage the complete accounting function for our distribution business. The ideal candidate will handle end-to-end accounts from regular entries to GST, TDS, bank reconciliation and finalization of books with minimal supervision.

Preferred candidate profile
  • Handle day-to-day banking transactions, payments and receipts
  • Perform bank reconciliation on a regular basis
  • Manage petty cash and cash flow tracking
  • Prepare and file GST returns (GSTR-1, GSTR-3B, GSTR-9)
  • Handle TDS deduction, payment, and quarterly return filing
  • Ensure timely compliance with other statutory requirements (PF/ESI if applicable)
  • Coordinate with auditors/CA for assessments and filings
  • Manage accounts receivable and follow up on collections
  • Manage accounts payable and vendor payment schedules
  • Track outstanding dues and aging reports
  • Maintain complete books of accounts in Tally/ERP or similar software
  • Prepare monthly P&L, balance sheet, and MIS reports
  • Assist in finalization of accounts and year-end closing
  • Support internal and statutory audits with required documentation
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