Retail Cashier

TDF - Diamonds & Gold

Maharashtra

On-site

INR 300,000 - 420,000

Full time

14 days+
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Job summary

TDF - Diamonds & Gold is seeking a dedicated Accounts & Admin Executive to join our Mumbai team. The role focuses on daily administrative and financial tasks to ensure smooth store operations.

Responsibilities include petty cash, bank reconciliation, inventory tracking, payments processing, and basic accounting support, with knowledge of GST and TDS. Opportunity to contribute across finance and admin functions within a retail environment.

Qualifications

  • Petty cash management and accurate reconciliation.
  • Bank reconciliation to ensure records match statements.
  • Inventory management and proper stock documentation.

Responsibilities

  • Petty Cash Management: Maintain and reconcile petty cash transactions, ensuring accurate record-keeping.
  • Bank Reconciliation: Regularly verify and reconcile bank statements with company records to ensure accuracy.
  • Inventory Management: Track and manage store inventory, ensuring proper documentation and stock availability.
  • Payments Processing: Assist in vendor payments, staff reimbursements, and other financial transactions.
  • Basic Accounting Support: Handle expense entries, purchase records, and sales transactions in coordination with the accounts team.
  • GST & TDS Knowledge: Maintain basic records related to GST and TDS, ensuring compliance with company policies and government regulations.
  • Administrative Support: Assist in general administrative tasks, including documentation, report preparation, and coordination with internal departments.

Job description

Job Summary

We are looking for a dedicated and detail-oriented Accounts & Admin Executive (AAE) to join our team in Mumbai. The ideal candidate will be responsible for handling daily administrative and financial tasks, ensuring smooth operations at the store.

Key Responsibilities
  • Petty Cash Management: Maintain and reconcile petty cash transactions, ensuring accurate record-keeping.
  • Bank Reconciliation: Regularly verify and reconcile bank statements with company records to ensure accuracy.
  • Inventory Management: Track and manage store inventory, ensuring proper documentation and stock availability.
  • Payments Processing: Assist in vendor payments, staff reimbursements, and other financial transactions.
  • Basic Accounting Support: Handle expense entries, purchase records, and sales transactions in coordination with the accounts team.
  • GST & TDS Knowledge: Maintain basic records related to GST and TDS, ensuring compliance with company policies and government regulations.
  • Administrative Support: Assist in general administrative tasks, including documentation, report preparation, and coordination with internal departments.
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