Accounts executive

OM JVM Infra Projects Pvt Ltd

Mumbai Suburban

On-site

INR 300,000 - 540,000

Full time

14 days+
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Job summary

OM JVM Infra Projects Pvt Ltd is seeking a diligent Accountant to manage day-to-day accounting, data entry, and ledger maintenance in Mumbai. You will record invoices in Tally, handle GST, TDS, and income tax compliance, and perform bank reconciliations and financial reporting to support management decisions.

The role requires coordination with the CA for tax filings and audits, with responsibilities spanning accounting finalisation, MIS reporting, and maintaining books of accounts.

Qualifications

  • Handle day-to-day accounting activities with daily data entry.
  • Record and maintain purchase and sales invoices in Tally.
  • Manage GST, TDS, and Income Tax compliance.
  • Handle banking transactions and fund transfers.
  • Perform bank reconciliations and resolve discrepancies.
  • Assist with account finalisation and ledger review.
  • Coordinate with CA for tax filings and audits.
  • Prepare MIS reports for management.
  • Maintain books of accounts and supporting documents.
  • Own day-to-day accounting operations and ensure timely delivery.
  • Identify discrepancies and coordinate resolutions.
  • Ensure timely accounting, taxation, banking, and reporting.

Responsibilities

  • Handle day-to-day accounting activities, including daily data entry and maintenance of accounting records.
  • Record and maintain purchase and sales invoices in Tally, ensuring accuracy and proper documentation.
  • Manage GST, TDS, and Income Tax related accounting and compliance activities.
  • Handle banking transactions, including payments, receipts, fund transfers, and other routine banking activities.
  • Perform bank reconciliation regularly and resolve discrepancies between bank statements and accounting records.
  • Assist with account finalisation, including preparation and review of ledgers, trial balance, and other financial statements.
  • Coordinate with the Chartered Accountant (CA) for tax filings, audits, compliance requirements, and other accounting-related matters.
  • Prepare MIS reports and provide accurate financial information to management for decision-making.
  • Monitor and maintain proper books of accounts, supporting documents, and financial records.
  • Take complete ownership of day-to-day accounting operations and ensure that accounting work is completed accurately and on time.
  • Identify accounting discrepancies and coordinate with relevant teams to resolve issues.
  • Ensure timely completion of accounting, taxation, banking, and reporting activities.

Skills

Data entry
Accounting records
Tally ERP
GST compliance
TDS compliance
Income tax
Banking transactions
Bank reconciliation
Financial reporting
MIS reports
Ledger preparation
Tax filings

Tools

Tally

Job description

Role & responsibilities



  • Handle day-to-day accounting activities, including daily data entry and maintenance of accounting records.

  • Record and maintain purchase and sales invoices in Tally, ensuring accuracy and proper documentation.

  • Manage GST, TDS, and Income Tax related accounting and compliance activities.

  • Handle banking transactions, including payments, receipts, fund transfers, and other routine banking activities.

  • Perform bank reconciliation regularly and resolve discrepancies between bank statements and accounting records.

  • Assist with account finalisation, including preparation and review of ledgers, trial balance, and other financial statements.

  • Coordinate with the Chartered Accountant (CA) for tax filings, audits, compliance requirements, and other accounting-related matters.

  • Prepare MIS reports and provide accurate financial information to management for decision-making.

  • Monitor and maintain proper books of accounts, supporting documents, and financial records.

  • Take complete ownership of day-to-day accounting operations and ensure that accounting work is completed accurately and on time.

  • Identify accounting discrepancies and coordinate with relevant teams to resolve issues.

  • Ensure timely completion of accounting, taxation, banking, and reporting activities.

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