Accountant

Lushlife

Pune District

On-site

INR 350,000 - 520,000

Full time

4 days ago
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Job summary

Lushlife is seeking a meticulous accounts professional to handle site and project costing, vendor payouts, and customer billing across construction projects. You'll track expenses, verify contractor invoices, record payments, and monitor loan disbursements to ensure accurate cash flow.

The role also supports GST data preparation, TDS filings, and bank reconciliations, with daily ledger entries in our accounting software to keep project finances transparent and compliant.

Qualifications

  • Experience in site and project costing and expense tracking.
  • Familiarity with vendor and subcontractor bill verification and TDS.
  • Ability to generate customer billing and track payments and loans.
  • Knowledge of GST, TDS filings, and basic tax compliance.
  • Experience with ledger entries and bank reconciliations in accounting software.

Responsibilities

  • Track site-level expenses and petty cash; manage project costing.
  • Verify contractor bills and process supplier invoices with TDS/retention handling.
  • Issue construction milestone demand letters and record buyer payments.
  • Assist with GST data preparation, TDS filings, and project bank account reconciliations.
  • Enter daily ledger data and prepare monthly bank reconciliations.

Skills

Data Accuracy
Taxation

Tools

Tally Prime
MS Excel

Job description

Key Responsibilities
  • Site & Project Costing: Track site-level expenses, raw material purchases, and petty cash;
  • Vendor & Subcontractor Payouts: Verify contractor bills, process supplier invoices, and deduct applicable TDS and retention amounts.
  • Customer Billing: Issue construction milestone demand letters, record flat/plot buyer payments, and track bank loan disbursements.
  • Tax & Compliance Support: Assist with monthly GST data preparation, TDS filings, and project bank account reconciliations.
  • Ledger & Reconciliations: Perform daily entry in accounting software and prepare monthly Bank Reconciliation Statements
Key Skills Required
  • Accounting Software: Tally Prime, , and intermediate MS Excel
  • Taxation & Billing: Basic understanding of GST (Input Tax Credit), TDS deductions, and vendor RA (Running Account) bills.
  • Data Accuracy: Precision in site bill verification, expense tracking, and inventory reconciliation.
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