Maintain accurate and up-to-date financial records.
Prepare and file GST returns, including GSTR-1 and GSTR-3B.
Handle TDS and TCS compliance.
Perform bank reconciliations to ensure accuracy of financial transactions.
Reconcile vendor ledgers and accounts payable.
Assist with basic auditing tasks.
Utilize e-commerce experience to streamline financial processes (preferred).
· Handle day-to-day accounting operations, including accounts payable, accounts receivable, and bank reconciliations.
· Record purchase and sales transactions related to metal scrap, raw materials, and finished goods.
· Manage invoice generation, Delivery orders, vendor payments, and follow-ups for receivables.
· Assist in monthly, quarterly, and annual financial closing and reporting.
· Maintain accurate and up-to-date ledger accounts and supporting documents.
· Work closely with operations to ensure proper recording and valuation of scrap and recycled materials.
· Monitor cash flow and prepare daily/weekly reports as required.