• ensure that the company operations are run smoothly and efficiently within the existing companies act, rbi, legal, local compliances to all direct & in-direct tax requirements.
• maintain accurate financial records, ability to prepare quality mis/ reports and ensure statutory compliance/returns before target dates.
• ensure timely monthly accounting closing and reporting of the same to the parent company as per the group guidelines.
• monthly accounting closing and reporting
• zero statutory non-compliance (including all direct/in-direct tax related filings).
• monthly compliance calendar needs to be maintained and closure of payment and returns
• ensure support for successful completion of statutory, tax & group audits.
• related to all banking and treasury matters. also preparation of monthly and projections of cash flow.
• preparation and maintaining fixed assets register & calculation of depreciation as per the company act & income tax act.
• foreign remittance affiliated companies (material and services) and other foreign vendors.
• ensure day to day accounting with respect to bank reconciliation, general ledger scrutiny & imprest accounting. checking the supporting, checking expense register for
• knowledge of import documentation ,import booking.
Experience
2 - 8 Years
No. of Openings
2
Education
B.B.A, B.Com, Bachelor of Hotel Management, Diploma, Advanced/Higher Diploma, Higher Secondary, M.Com, Professional Degree, Secondary School, Vocational Course
Role
Account Executive
Industry Type
Banking / Financial Services / Stock Broking
Gender
[ Male / Female ]
Job Country
India
Type of Job
Full Time
Work Location Type
Work from Office