Roles and responsibilities: Handling everyday finance matters of a Liquor vend business which includes following:Maintain accurate records for all daily transactions in TallyProcess salaries, vendor payments and invoices and maintaining adequate documentation and maintain payroll (salary slips etc.)Record accounts payable and accounts receivable and Reconcile bank statementsPrepare monthly, quarterly and annual financial reports with CA on panelPrepare TDS data, GST reconciliations to be filed monthly/quarterly/annually, deducting and depositing.Track bank deposits and paymentsCommunicating with vendors, bank, work related to loans, documents, banking, service requestsCommunicating with internal employees, teams and process payments and reimbursementsGood knowledge of MS-excelQualification:B.ComGood knowledge of accountingBasic knowledge of TDS AND GSTEmployment Type : Full-timeJob Types: Full-time, Contract