Maintain Books of Accounts and Ensure Accuracy of Financial Records
prepare Monthly, Quarterly, and Annual Financial Statements
handle Gst Returns (gstr-1, Gstr-3b, Reconciliation)
manage Tds Calculation, Deduction, and Filing of Returns
prepare Balance Sheet, P&l, and Cash Flow Statements
coordinate with Auditors During Internal and Statutory Audits
ensure Compliance with Accounting Standards and Statutory Regulations
monitor Accounts Payable and Receivable
reconcile Bank Statements and Ledger Accounts
assist in Budgeting, Forecasting, and Financial Analysis
support Management with Financial Reports and Insights
strong Knowledge of Gst, Tds, Income Tax, and Statutory Compliance
proficiency in Accounting Software (tally, Erp, Excel)
good Analytical and Problem-solving Skills
ability to Work Independently and Meet Deadlines
advance Excel, Finalization, Gst, Book Keeping, Tally