Key Responsibilities
Manage daily accounting, sales, purchase, cash & bank entries.
Handle GST, TDS, ITR, audits & statutory compliance.
Manage bank reconciliation, payments & online banking.
Prepare P&L, Balance Sheet & Cash Flow.
Handle vendor/customer coordination & salary accounting.
Manage Import-Export documentation, BRC & related financial records.
Coordinate with CA, banks & statutory authorities.
Required Skill
Import-Export Documentation & BRC Handling