Key Responsibilities
• Maintain books of accounts (journal entries, ledger, bank reconciliation)
• Handle accounts payable and receivable
• Track brokerage inflows, payouts, and commission cycles
• Manage invoicing, receipts, and payment follow-ups
• Maintain deal-wise financial tracking (inventory, collections, receivables)
• Reconcile brokerage with channel partners and internal teams
• Handle GST, TDS, and statutory compliance
• Coordinate with CA for filings and audits
• Prepare MIS reports (weekly/monthly cash flow, revenue tracking)
• Maintain proper documentation for all financial transactions
Required Skills
• Strong accounting fundamentals
• Knowledge of GST, TDS, and compliance
• Proficiency in Tally / Zoho Books / MS Excel
• Good reconciliation and analytical skills
• Ability to manage high transaction volumes