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Accountant

Company:
A-STAR GROUP
Location:
Chennai, Tamil Nadu, India
Posted:
April 21, 2024
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Description:

Handle full set of accounts

Monitor and analyze accounting data and produce financial reports or statements

Data entry of transactions into accounting system

Perform Monthly Bank reconciliation

Prepare quarterly GST return and GST reconciliation

Maintain Fixed Asset Register

Handle petty cash and all staffs claim

AP Coding of invoices and book into accounting system, check and ensure the supporting

documents, handle suppliers payment & Supplier statement reconciliation.

Preparation of monthly balance sheet and income statement schedules and reconciliation & Journal entries.

Perform month end closing and prepare audit schedules for balance sheet accounts

Perform monthly inter-company reconciliation and ensure that the inter-companies' balances are accurate.

Prepare and submit monthly reporting pack & maintain proper filling and records

Prepare audit schedules and assist in auditing matters

Prepare loan and tax schedules and assist in tax matters.

Ensure that accounting reports and supporting documents are in compliance with regulations, standards and practices.

To Pass Journal Entries relating to accrued sales and ensure whether there is proper billing of same in Subsequent months and to pass reversal entries for accrued sales booked.

Assist the team in Passing the accounting entries and verification of the same.

Full time

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