we are seeking an analytical, precise, and highly organized Accountant to manage our company’s daily financial operations. In this role, you will be responsible for preparing financial statements, reconciling bank accounts, tracking invoices, and ensuring full compliance with statutory tax regulations. The ideal candidate has a strong eye for detail, deep knowledge of accounting principles, and the ability to turn complex financial data into actionable business insights.
Roles and Responsibilities
Financial Reporting: Prepare accurate monthly, quarterly, and annual financial statements, including balance sheets, profit and loss (P&L) statements, and cash flow reports.
Ledger Management: Maintain and update the general ledger, ensuring all business expenses, revenues, and journal entries are accurately recorded
Bank Reconciliation: Reconcile bank statements, credit card transactions, and inter-company accounts regularly to identify and resolve discrepancies.
Accounts Payable & Receivable: Oversee timely processing of vendor invoices, employee expense reimbursements, client billing, and aging accounts collections.
Tax Compliance: Prepare, calculate, and file timely statutory tax returns, including GST, TDS, corporate tax, and payroll taxes.
Audit Assistance: Organize financial records and provide necessary documentation to support internal and external auditors during annual financial audits.
Budgeting & Forecasting: Assist management in developing annual company budgets, monitoring variances, and forecasting future cash flows.
Data Security: Maintain strict confidentiality of financial data and back up financial records in compliance with data security policies