Accountant

High Dive International

Ludhiana

On-site

INR 350,000 - 550,000

Full time

42 hours ago
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Job summary

High Dive International in Ludhiana, India is seeking an experienced accounting professional to maintain daily records, manage GST compliance, and support audits. The role covers receivables/payables, invoicing, reconciliations, and financial reporting.

Candidates should be proficient in accounting processes, documentation, and cross-department coordination to ensure accurate financial records and timely statutory filings.

Responsibilities

  • Maintain daily accounting records, vouchers, invoices, and financial transactions.
  • Handle accounts payable and receivable .
  • Prepare and maintain invoices, bills, receipts, and payment records.
  • Perform bank, cash, and ledger reconciliation .
  • Manage GST-related accounting and documentation.
  • Assist with GST returns, TDS, and other statutory compliance .
  • Maintain accurate records of expenses, purchases, sales, and payments.
  • Prepare monthly financial statements and accounting reports.
  • Coordinate with vendors, clients, banks, and internal departments regarding financial matters.
  • Assist with audits and provide required financial documents.
  • Ensure proper filing and maintenance of accounting documents.
  • Identify discrepancies and resolve accounting-related issues promptly.

Job description

  • Maintain daily accounting records, vouchers, invoices, and financial transactions.
  • Handle accounts payable and receivable .
  • Prepare and maintain invoices, bills, receipts, and payment records.
  • Perform bank, cash, and ledger reconciliation .
  • Manage GST-related accounting and documentation.
  • Assist with GST returns, TDS, and other statutory compliance .
  • Maintain accurate records of expenses, purchases, sales, and payments.
  • Prepare monthly financial statements and accounting reports.
  • Coordinate with vendors, clients, banks, and internal departments regarding financial matters.
  • Assist with audits and provide required financial documents.
  • Ensure proper filing and maintenance of accounting documents.
  • Identify discrepancies and resolve accounting-related issues promptly.
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