About the Job
Key Responsibilities:1. Maintain accurate and up-to-date financial records, including deposits, withdrawals, payments, and loan disbursements.
2. Manage and monitor bank accounts and ensure timely recording and reconciliation of all transactions.
3. Handle internal and external documentation flow with a high degree of organisation and confidentiality.
4. Ensure statutory compliance, including GST, TDS, and timely filing of returns.
5. Prepare and maintain legal documents, contracts, and compliance records, especially for RERA documentation.
6. Prepare and present MIS reports and financial summaries to support management decision-making.
7. Reconcile bank, cash, and ledger accounts, resolving any discrepancies efficiently.
8. Coordinate with internal departments and external auditors for audits and compliance reviews.
9. Track subscriptions, agreements, and document expiry timelines.
10. Communicate effectively with banks, clients, and cross-functional teams.
11. Maintain proper document filing systems, both physical and digital.
Number of Openings
2 openingsSkills
English Proficiency (Written), Accounting, Tally, MS-Excel, English Proficiency (Spoken)
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