Job Description
Company Overview Zigsaw is a leading company in the None industry, specializing in providing innovative solutions for accounting and financial management. With a dedicated team of professionals, Zigsaw is committed to delivering excellence in its services and ensuring client satisfaction. Role And Responsibilities Handle day-to-day accounting entries, including bank and cash reconciliation, checking travel claims, and knowledge of TDS and GST entries. Ensure accurate bookkeeping and maintain financial records. Perform TDS reconciliation, return filing, and GST reconciliation, return filing, and accounting. Ensure compliance with statutory requirements. Manage sales reconciliation and bank transactions, including receipts, payments, and daily reconciliations. Prepare monthly and quarterly accounting reports. Assist in accounts finalization. Reconcile customer and vendor ledgers. Candidate Qualifications Qualifications: M.com, B.com, CA inter, CS inter Required. Skills Ability to quickly learn new software and processes. Sound knowledge of taxation, accounting, and MS Office, especially MS Excel and MS Word. Employment Type Full Time, Permanent Skills: taxation,tds,bank receipt,rcmstatutory compliance,bookkeeping,payment,statutory,account executive,monthly & quarterly accounting reports,bank reconciliation,gst,tds reconciliation,cs intern,ms office,ca inter,return fillinggst reconciliation,accounts finalisation,accounting,customer and vendor ledger reconciliation and clearing,daily bank reconciliations,ms word,ms excel,sales reconciliation
Employement Category:
Employement Type: Full time
Industry: Others
Role Category: Company Secretary
Functional Area: Not Applicable
Role/Responsibilies: Account Executive (CA CS Intern)
Keyskills:
taxation
tds
bookkeeping
statutory
bank reconciliation
gst
ms office
accounts finalisation
accounting
ms word
ms excel
bank receipt
rcmstatutory compliance
payment
account executive
monthly quarterly accounting reports
tds reconciliation
cs intern
ca inter
return fillinggst reconciliation
customer
vendor ledger reconciliation
clearing
daily bank reconciliations
sales reconciliation