About the Job
Key responsibilities:1. Prepare and maintain financial statements
– Balance sheet, profit & loss, cash flow statements, and monthly closing.
2. Manage accounts payable and receivable
– Oversee vendor payments, customer invoices, and aging reports.
3. Handle GST, TDS, and tax compliance
– Ensure timely filing, reconciliation, and follow government norms.
4. Lead monthly and yearly closing activities
– Finalize books of accounts, ensure accuracy, and coordinate with auditors.
5. Bank reconciliation and cash flow management
– Monitor daily bank balances, match statements, and track cash movement.
Number of Openings
5 openingsPerks of this Jobs
Informal dress code
Skills
Accounting, Tally, Taxation, MS-Excel, GST
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