Job Description
We are seeking a detail-oriented and strategic Accountant to oversee our financial operations and drive efficiency. The ideal candidate will not only manage daily accounting tasks but also contribute to financial planning, cash flow optimization, and compliance strategies. You will work closely with senior leadership to ensure financial stability and long-term growth.
Key Responsibilities
● Oversee and manage daily accounting operations, including cash vouchers, bank vouchers, and bank receipts.
● Ensure accurate and timely recording of all invoices, payments, and transactions.
● Monitor financial health through reporting on balance sheets, income statements, and cash flow analysis.
● Manage statutory payments (GST, TDS, income tax, and other regulatory filings).
● Supervise accounts payable and receivable processes to maintain financial discipline.
● Conduct timely bank reconciliations and resolve discrepancies.
● Collaborate with auditors and tax consultants to ensure compliance.
● Assist in budgeting, forecasting, and strategic financial planning to support company goals.
● Improve financial processes by implementing best practices and ensuring adherence to policies.
Qualifications
● Bachelor’s degree in Accounting, Finance, or a related field.
● 5+ years of experience in accounting or financial management, preferably in a dynamic business environment.
● Proficiency in accounting software such as Tally ERP, Zoho Books, or similar platforms.
● Strong understanding of taxation laws (GST, TDS, corporate tax compliance).
● Advanced knowledge of Microsoft Excel and financial modeling.
● Excellent problem-solving skills with a keen eye for accuracy and efficiency.
● Ability to manage multiple priorities and work effectively under pressure.
● Strong analytical and decision-making skills to support business operations