Job Description
Oversee daily accounting operations including accounts payable, receivables, general ledger and bank reconciliations.
Reconcile bank statements and manage cash flow to ensure the company meets its financial obligations
Prepare balance sheets, profit and loss statements, and other financial reports as per accounting standards.
Ensure compliance with internal controls and support external audits by providing necessary documents and explanations.
Ensure timely preparation of financial statements, MIS reports, and monthly closings.
Handle GST filings, TDS and other tax-related matters in compliance with Indian Tax regulations.
Stay updated on changes in tax laws and regulations and advise management on necessary changes in financial process.
Ensure timely and accurate filing of returns and payments of statutory dues.
Efficiently manage banking related work
Closely work with other relevant divisions in the company on all related matters.