Education -: Bcom/Mcom/CA inter
Experience-: 3/5 Years
Responsibilities-: Maintaining Daily Cash Book & Bank Book (with reconciliation) * The cash flow and supervise financial transactions within the company to ensure there are no discrepancies in reports. * Controlling credit and ensuring debtors pay on time. * Reconciliation of direct debits and finance accounts. * Ensuring all payments amounts & records are accurate. * Preparation of statutory accounts. * Fixed asset accounting, reconciliation and depreciation journals. * Working with journals, sales & purchase ledgers and excel. * Assisting qualified Accountants with audits. * GST Related all work along with GST auditing. * Compute taxes owed and prepare tax returns, ensuring compliance with payment, reporting and other tax requirements. * To make a report for obtaining financial data, such as the expenses incurred throughout the every month & quarterly, so that records can be updated for accurate auditing at the end of the year as financial MIS. * To develop strategic plans and to brainstorm ways of reducing spending and increasing profits. * Other duties and projects as assigned
Mob No.9512365424
Job Types: Full-time, Regular / Permanent
Salary: ₹350,000.00 – ₹450,000.00 per year
Benefits:
Schedule:
Supplemental pay types:
Work Location: One location