Key Responsibilities
· Manage day-to-day accounting operations, including payments, receipts, deposits, and expense tracking.
· Prepare, maintain, and analyze financial statements, reports, and budget forecasts.
· Reconcile bank statements and ensure the accuracy of financial records.
· Ensure timely preparation and filing of statutory taxes and other regulatory compliances.
· Conduct periodic internal audits to ensure compliance with financial policies, accounting standards, and applicable regulations.
· Monitor cash flow and analyze financial data to assess liquidity and the overall financial health of the organization.
· Maintain proper documentation of financial transactions and accounting records.
· Assist in month-end and year-end closing activities.
· Coordinate with internal teams, auditors, banks, and regulatory authorities whenever required.
· Identify opportunities to improve accounting processes and enhance financial controls.
Qualifications & Requirements
· Bachelor's degree in Accounting, Finance, Commerce, or a related field.
· Minimum 1+ year of relevant experience in accounting or finance.
· Proficiency in accounting software such as Tally (ERP knowledge is an added advantage).
· Strong understanding of accounting principles, financial reporting, taxation, and statutory compliance.
· Excellent analytical, organizational, and problem-solving skills.
· High attention to detail with strong accuracy in financial reporting.
· Ability to prioritize tasks and work effectively in a fast-paced environment.
· Good communication, interpersonal, and teamwork skills.
· Proficiency in Microsoft Excel and other MS Office applications is preferred.
Preferred Skills
· Knowledge of GST, TDS, and other statutory compliances.
· Strong numerical and data analysis skills.
· Ability to maintain confidentiality and handle sensitive financial information.
· Positive attitude with a willingness to learn and adapt to changing business needs