Financial Reporting Analysis Preparation of monthly quarterly and annual financial statements Budgeting forecasting and variance analysis Financial modeling and profitability analysis Accounts Payable Receivable Managing vendor payments and customer collections Reconciliation of accounts Aging reports and credit control General Ledger Accounting Journal entries accruals and ledger reconciliation Month-end and year-end closing processes Intercompany accounting and reconciliations Taxation Compliance Knowledge of local tax laws GST VAT TDS etc Filing of returns and compliance with statutory regulations Coordinating with auditors and tax consultants Budgeting Cost Control Assisting in the preparation of budgets and monitoring spending Cost allocation and cost-benefit analysis Internal Controls Audit Supporting internal and external audits Implementing and monitoring internal controls Treasury Cash Flow Management Bank reconciliation and fund flow management Forecasting cash flow and managing working capital Forex transactions ERP Accounting Software Hands-on experience with systems like Oracle QuickBooks Tally etc Job Type Full-time Pay 45 000 00 - 50 000 00 per month Perks Health insurance Schedule Day shift Supplemental Pay Performance bonus Work Location In person Speak with the employer 91 (phone hidden)