Key Responsibilities
Financial Reporting:
Prepare monthly, quarterly, and annual financial statements, including balance sheets, profit and loss statements, and cash flow statements.
Tax Compliance:
Calculate, prepare, and file tax returns and ensure compliance with relevant tax laws and regulations.
Budgeting & Forecasting:
Create budget forecasts and monitor spending and budget variances to help with cost reduction and profit maximization.
Financial Analysis:
Analyze financial data, identify trends, variances, and risks, and provide insights and recommendations to management for better decision-making.
Auditing & Reconciliation:
Audit financial documents and procedures, reconcile bank statements, and resolve financial discrepancies.
Data Management:
Manage accounting transactions, maintain accurate financial records, ensure data confidentiality, and perform database backups when necessary.
Accounts Management:
Handle accounts payable and receivable, ensure timely bank payments, and manage billing processes.
Skills Required:
Tally ,GST Filing