GST Compliance & Filing:
Prepare, reconcile, and file monthly/quarterly GST returns (GSTR-1, GSTR-3B, etc.)
Handle GST reconciliation between GSTR 2A/2B and books of accounts
TDS Compliance:
Ensure timely deduction and deposit of TDS
Filing of quarterly TDS returns (Form 24Q, 26Q)
Generate and issue Form 16 and Form 16A
Bank Reconciliation:
Perform daily/monthly bank reconciliations for multiple accounts
Identify and resolve discrepancies promptly
Bookkeeping & Accounting Entries:
Record day-to-day financial transactions in Tally or relevant ERP
Ensure accurate ledger posting and timely closing of monthly books
Vendor and Customer Reconciliation:
Reconcile accounts with vendors and customers
Follow up on outstanding balances and coordinate resolutions
Support in Audit & Compliance:
Assist in statutory/internal audits
Maintain documentation as per audit and compliance requirements
Bachelor's Degree in Commerce (B.Com) or related field
Working knowledge of Tally ERP, MS Excel, and accounting standards
Strong understanding of GST and TDS laws
Good analytical, time management, and problem-solving skills
Experience in agri-business or manufacturing (preferred)