

 

			<rss version="2.0" xmlns:atom="http://www.w3.org/2005/Atom">
			<channel>
			<atom:link href="https://www.thejobsindia.com/" rel="self" type="application/rss+xml" />
			<title>Vacancy</title>
			<link>https://www.thejobsindia.com</link>
			<description>Vacancy</description>
			<lastBuildDate>Wed, 13 May 2026 05:41:49 +0530</lastBuildDate>
			<language>en-us</language>
			<generator>https://www.thejobsindia.com</generator>
				<item>
				<title>Accounts Assistant / Billing Checker</title>
				<link>https://www.thejobsindia.com/job-openings-for-accounts-assistant-nashik-1394449.htm</link>
				<guid>https://www.thejobsindia.com/job-openings-for-accounts-assistant-nashik-1394449.htm</guid>
				<pubDate>Fri, 09 Jan 2026 00:00:00 +0530</pubDate>
				<description>In 2026, the Accounts Assistant / Billing Checker role is a critical function that ensures financial accuracy at the transactional level. This role serves as the &quot;gatekeeper&quot; of cash flow, verifying that every invoice generated or received is precise, compliant with tax laws (like GST), and properly recorded in the system.

Below is a detailed job description for this dual-responsibility role.

Job Summary
The Accounts Assistant / Billing Checker is responsible for managing the day-to-day financial administrative tasks with a primary focus on billing integrity. You will ensure that all sales and purchase invoices are error-free, reconcile billing discrepancies, and assist the senior accountant in preparing books for month-end closing. This role requires a sharp eye for detail and proficiency in digital accounting platforms.

Key Responsibilities
1. Billing &amp; Verification (Core Duty)
Invoice Auditing: Thoroughly check all outgoing invoices for accuracy in pricing, quantity, discounts, and tax calculations (GST/VAT).

Data Validation: Verify purchase bills against Purchase Orders (PO) and Goods Received Notes (GRN) to ensure the company only pays for what was received.

Error Correction: Identify and resolve billing discrepancies by coordinating with the Sales, Warehouse, or Procurement departments.

Voucher Entry: Accurately enter sales, purchases, receipts, and payment vouchers into the accounting software (e.g., Tally Prime, Zoho Books, or SAP).

2. Accounts Assistance
Bank Reconciliation: Match bank statements with internal ledgers to ensure all transactions are accounted for.

Ledger Maintenance: Maintain up-to-date records of accounts payable (creditors) and accounts receivable (debtors).

Follow-ups: Assist in credit control by sending payment reminders to clients and tracking overdue invoices.

Documentation: Maintain a systematic digital and physical filing system for all financial documents, contracts, and tax receipts.

3. Compliance &amp; Reporting
Tax Documentation: Ensure all bills have the correct GSTIN numbers and HSN/SAC codes.

Expense Tracking: Verify and process staff expense claims and petty cash transactions.

Monthly Summaries: Prepare basic reports on total daily sales, pending bills, and cash-on-hand.</description>
				</item>
			</channel>
			</rss>