Job Description
About Axis My India
Axis My India Limited is India’s leading consumer data intelligence company, committed to enabling data-driven decision-making. It has launched the "A" App, a people empowerment platform designed to enhance the lives of a billion citizens by providing access to authentic information and practical solutions for everyday needs. The app follows a PHYGITAL model, leveraging Axis My India’s vast network of 5,000+ locations across 700 districts. Powered by Google Cloud and Google Gen AI, it continuously learns and improves to deliver better user experiences.
Accounts Executive JD :
Sales Accounting : Record and maintain accurate sales transactions in Tally (Mandatory)
Proforma invoice and purchase order prepare
Petty Cash Handling : Maintain and reconcile petty cash transactions.
Requirements
Strong knowledge of Tally.
Experience in sales accounting, expense booking, and vendor management
Ability to handle reconciliations (bank, vendor, petty cash)
Familiarity with tax compliance (TDS)
Good organizational skills to manage daily accounting operations
Benefits
Benefits
Competitive salary and benefits package
Opportunity to make significant contributions to a dynamic company
Walking distance from Chakala metro station, making commuting easy and convenient.
At Axis My India, we value discipline and focus. Our team members wear brand on sleeves, adhere to a no-mobile policy during work hours, and work from our office with alternate Saturdays off. If you thrive in a structured environment and are committed to excellence, we encourage you to apply.
Requirements
Accounts Executive JD : Sales Accounting : Record and maintain accurate sales transactions in Tally (Mandatory) Proforma invoice and purchase order prepare Expense Booking : Ensure timely and correct booking of all expenses. Vendor Payments & Reconciliation : Process vendor payments and perform regular reconciliation of vendor accounts. TDS Calculation & Booking : Compute and book Tax Deducted at Source (TDS) as per statutory requirements. Bank & Credit Card Reconciliation : Perform monthly reconciliation of bank accounts and credit card statements. Journal Accounting & Daily Transactions : Post journal entries and manage day-to-day accounting activities. Petty Cash Handling : Maintain and reconcile petty cash transactions. Strong knowledge of Tally. Experience in sales accounting, expense booking, and vendor management Ability to handle reconciliations (bank, vendor, petty cash) Familiarity with tax compliance (TDS) Good organizational skills to manage daily accounting operations
Accountant • Mumbai, MH, in