: Recording financial transactions such as sales, purchases, payments, receipts, and bank entries in Tally.
Account Reconciliation
: Ensuring the accuracy of financial statements and records by reconciling accounts, including bank accounts and ledger balances.
Accounts Payable and Receivable
: Managing payments to vendors and invoices from customers, ensuring that transactions are accurately recorded in the system.
Financial Reporting
: Generating reports like balance sheets, profit & loss accounts, trial balances, GST returns, and other financial statements from Tally.
Tax Compliance
: Assisting with GST filing, tax payments, and ensuring that records are compliant with regulatory standards.
Maintaining Records
: Organizing and maintaining the records of financial transactions and ensuring data is stored correctly for future audits.
Job Types: Full-time, Permanent
Pay: AED2,500.00 per month
Experience:
* Tally: 2 years (Required)
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