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Estuate Software in Bengaluru is hiring an Accounts & Finance Executive to manage core accounting functions, including journal entries, ledgers, P&L and balance sheet, with emphasis on Tally Prime, GST, and TDS compliance.
You will perform bank reconciliations, vendor and customer invoicing, month-end closing, payroll-related accounting, and support auditors, while maintaining documentation and strong communication with internal teams.
Strong knowledge of basic accounting principles, debit/credit, journal entries, ledgers, trial balance, P&L, and balance sheet
Good working knowledge of Tally Prime—voucher entry, ledger creation, bank reconciliation, GST configuration, inventory if applicable, reports, and corrections
Preparation and filing of GSTR-1, GSTR-3B, reconciliation of GSTR-2B, input tax credit, output GST, RCM, and basic GST compliance
TDS calculation, deduction, payment, and filing of 24Q, 26Q, and 27Q; Form 16/16A; TDS reconciliation; and handling notices/defaults
Bank reconciliation, online banking transactions, payment processing, and bank-related accounting
Vendor invoice verification, booking of invoices, vendor reconciliation, payment preparation, and outstanding analysis
Customer invoicing, receipt accounting, customer reconciliation, outstanding/aging reports, and follow-up
Basic knowledge of salary processing, PF, ESI, professional tax, TDS on salary and payroll-related accounting entries
Good knowledge of VLOOKUP, SUMIF/SUMIFS, COUNTIF, IF, pivot tables, filters, sorting, and basic data analysis
Fixed asset register, capitalization, depreciation, and basic accounting treatment
Ability to provide schedules, ledgers, invoices, confirmations, and supporting documents to auditors
Accruals, provisions, prepaid expenses, depreciation, outstanding expenses, and other month-end closing activities
Proper maintenance of invoices, vouchers, statutory records, and agreements and saving supporting documents in the folders
Ability to communicate with vendors, customers, auditors, banks, consultants, and internal teams
Ability to identify accounting discrepancies and independently investigate/reconcile them
Experience: 3–4 years
Qualification: B.Com / M.Com / CA Inter / equivalent
Software: Tally Prime + MS Excel
Mandatory: Accounting + TDS + GST + Tally + Bank Reconciliation
Preferred: PF/ESI/PT + Payroll + MIS + Audit + Income Tax + Foreign Currency Transactions
Day-to-day accounting GST TDS Bank reconciliation, bank transactions AP/AR Payroll-related accounting Month-end closing Audit support MIS reporting.