Accountant/Male/HPS/2026/506

Harshplacements

India

On-site

INR 300,000 - 600,000

Full time

14 days+
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Job summary

Harshplacements is seeking a dedicated and detail-oriented Accountant to manage daily accounting operations and maintain financial records. The ideal candidate will handle accounting tasks using Tally, prepare GST-related records, and ensure accurate bookkeeping.

Responsibilities include managing accounts payable/receivable, preparing bank statements, and assisting in monthly and annual closing of accounts. Candidates should have prior experience in accounting software and taxation.

Qualifications

  • Practical experience in accounting software and Tally.
  • Understanding of taxation and financial reporting.

Responsibilities

  • Maintain day-to-day accounting records and bookkeeping.
  • Handle purchase, sales, payment, and receipt entries in Tally.
  • Prepare and reconcile bank statements.
  • Manage accounts payable and accounts receivable.
  • Prepare GST-related records and assist in GST return filing.
  • Generate invoices, vouchers, and financial reports.
  • Perform ledger scrutiny and account reconciliation.
  • Maintain proper documentation of financial transactions.
  • Assist in monthly and annual closing of accounts.

Skills

Accounting software
Tally
Taxation
Financial reporting

Job description

JOB DESCRIPTION

Job Summary

We are looking for a dedicated and detail-oriented Accountant to manage daily accounting operations, maintain financial records, and ensure accurate bookkeeping. The candidate should have practical experience in accounting software, Tally, taxation, and financial reporting.

Key Responsibilities
  • Maintain day-to-day accounting records and bookkeeping.
  • Handle purchase, sales, payment, and receipt entries in Tally.
  • Prepare and reconcile bank statements.
  • Manage accounts payable and accounts receivable.
  • Prepare GST‑related records and assist in GST return filing.
  • Generate invoices, vouchers, and financial reports.
  • Perform ledger scrutiny and account reconciliation.
  • Maintain proper documentation of financial transactions.
  • Assist in monthly and annual closing of accounts.
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