Audit & Account Assistant

Skinfinity

Raipur

On-site

INR 300,000 - 420,000

Full time

6 days ago
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Job summary

Skinfinity is seeking a finance assistant in India with at least 1 year of experience to manage day-to-day accounting, GST/TDS, and audits support. The role includes bank reconciliations, ledger maintenance, and preparing financial reports using advanced MS Excel.

The candidate will ensure accurate entry preparation, documentation, and collaboration with auditors, while maintaining timely financial records and MIS outputs.

Qualifications

  • Knowledge of GST & TDS, bank reconciliation and financial accounting.
  • Experience in Tally ERP 9 and advanced MS Excel.

Responsibilities

  • Maintain day-to-day financial accounting and bookkeeping activities.
  • Prepare and maintain accounting entries, vouchers, invoices, and financial records.
  • Handle GST and TDS related accounting and compliance activities.
  • Perform bank reconciliation and ledger reconciliation.
  • Assist in preparation of financial statements and accounting reports.
  • Provide support during statutory, internal, and tax audits.
  • Coordinate with auditors and provide required financial documents and records.
  • Identify and resolve discrepancies in accounting records.
  • Maintain proper documentation of financial transactions.
  • Prepare MIS and other financial reports using Advanced MS Excel.
  • Ensure timely and accurate completion of accounting activities.

Skills

GST & TDS
Bank reconciliation
Financial accounting
Audit support
Documentation

Tools

Tally ERP-9
MS Excel Advanced

Job description

  • Knowledge of GST & TDS , Bank reconciliation, financial accounting, support in audits , job timing 10.30-8 PM , experience in Tally , tally ERP -9 and MS excel advanced.
  • 1 year minimum experience .

Key Responsibilities

  • Maintain day-to-day financial accounting and bookkeeping activities.
  • Prepare and maintain accounting entries, vouchers, invoices, and financial records.
  • Handle GST and TDS related accounting and compliance activities.
  • Perform bank reconciliation and ledger reconciliation.
  • Assist in preparation of financial statements and accounting reports.
  • Provide support during statutory, internal, and tax audits.
  • Coordinate with auditors and provide required financial documents and records.
  • Identify and resolve discrepancies in accounting records.
  • Maintain proper documentation of financial transactions.
  • Prepare MIS and other financial reports using Advanced MS Excel.
  • Ensure timely and accurate completion of accounting activities.
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