Accounts Executive

Appitsimple Infotek Pvt Ltd

Ahmedabad District

On-site

INR 400,000 - 700,000

Full time

14 days+

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Job summary

Appitsimple Infotek Pvt Ltd in India is seeking a skilled finance professional to manage the overall accounting and bookkeeping for the organization, including accounts payable and receivable, inventory and capital assets.

You will ensure tax compliance (GST, TDS, service tax), produce monthly and quarterly reports, reconcile revenue, bank statements and trade creditors, and provide strategic financial insights to support decision making.

Qualifications

  • Experience in accounting and bookkeeping for an organization.
  • Familiarity with accounts payable/receivable, inventory and assets.
  • Knowledge of banking reconciliations and payroll processes.
  • Understanding of tax laws including GST, TDS, and service tax.

Responsibilities

  • Manage the overall accounting and bookkeeping for the organization, including accounts payable and receivable, inventory and capital assets, banking, and payroll functions
  • Ensure that all applicable tax laws are in proper compliance i.e. Service tax, TDS, GST, PTAX, etc.
  • Ensure that the system and information are compatible to produce consolidated reports and accounts.
  • Provide administrative assistance, including oversight of facility vendors and contracts and establishing and managing vendor accounts and relationships.
  • Ensure that Revenue is reconciled on a weekly basis - reconciling to bank statements, trade creditors and debtors, dealing with posting errors, etc.
  • Produce a weekly summary of accounts, including cash flow and trade creditors.
  • Produce monthly reports of the Balance sheet, Bank Statement, Cash and Fund flow statement, etc.

Skills

Accounting
Bookkeeping
Taxation knowledge
Payroll
Financial reporting

Job description

  • Manage the overall accounting and bookkeeping for the organization, including accounts payable and receivable, inventory and capital assets, banking, and payroll functions
  • Ensure that all applicable tax laws are in proper compliance i.e. Service tax, TDS, GST, PTAX, etc.
  • Ensure that the system and information are compatible to produce consolidated reports and accounts.
  • Provide administrative assistance, including oversight of facility vendors and contracts and establishing and managing vendor accounts and relationships.
  • Ensure that Revenue is reconciled on a weekly basis - reconciling to bank statements, trade creditors and debtors, dealing with posting errors, etc.
  • Produce a weekly summary of accounts, including cash flow and trade creditors.
  • Produce monthly reports of the Balance sheet, Bank Statement, Cash and Fund flow statement, etc.
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