SE

Account executive

Seven Consultancy
Chennai4-7 LPA Posted 16 Dec 2025
FULL TIME
Inventory Management
Bank Reconciliation
Expense Management

Job Description

  • Manage day-to-day accounting entries including sales, purchase (import & domestic), journal vouchers, debit notes, credit notes, and bank reconciliation.
  • Maintain inventory entries such as stock journal, delivery notes, and receipt notes.
  • Ensure compliance with TDS and GST regulations.
  • Prepare outstanding reports for debtors and creditors.
  • Perform account reconciliation and coordinate with clients for clarifications.
  • Record and manage expenses accurately.
  • Maintain high attention to detail to ensure accuracy and support organizational growth.

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