Overview
-Maintaining Books of accounts
-Preparing financial statements like P&L, Balance sheet, ledgers etc.
-Bank reconciliation
-Preparing service tax, income tax returns etc
-Coordination with CA for audit purpose
-Handling computation and payment of monthly service tax, TDS etc liabilities
-Daily accounts operation
-Meeting clients for outstanding reconciliation
-Experience of construction firm preferable
-Knowledge of Statutory Compliance i.e. VAT, TDS, Service Tax