Maintain day-to-day accounting records (Journal, Ledger, Cash Book, Bank Book, etc.)
Monitor accounts payable and receivable, ensuring timely collections and payments
Prepare monthly, quarterly, and annual financial reports and statements
Coordinate with CA for statutory and internal audits
File GST returns (GSTR-1, 3B, RCM), TDS returns, and other statutory compliance
Conduct bank reconciliations and vendor account reconciliation
Manage inventory records in coordination with the stores and production department
Track and manage manufacturing cost entries and BOM accounting
Handle petty cash, expense tracking, and employee reimbursement
Support in budgeting and variance analysis
Liaise with government authorities, tax consultants, and vendors for financial matte
Maintain day-to-day accounting records (Journal, Ledger, Cash Book, Bank Book, etc.)
Monitor accounts payable and receivable, ensuring timely collections and payments
Prepare monthly, quarterly, and annual financial reports and statements
Coordinate with CA for statutory and internal audits
File GST returns (GSTR-1, 3B, RCM), TDS returns, and other statutory compliance
Conduct bank reconciliations and vendor account reconciliation
Manage inventory records in coordination with the stores and production department
Track and manage manufacturing cost entries and BOM accounting
Handle petty cash, expense tracking, and employee reimbursement
Support in budgeting and variance analysis
Liaise with government authorities, tax consultants, and vendors for financial matters.
Apply On - hr@lishaswitches.com / 9712297852