We are looking for a detail-oriented finance qualified with 2–3 years of hands-on experience in accounting, statutory compliance, and reconciliations. The role requires strong working knowledge of books of accounts, PF & ESI Filling, GST/TDS compliance, and basic exposure to accounting software such as Tally or NetSuite. The ideal candidate is flexible, proactive, and capable of learning independently in a fast-paced environment.
Key Responsibilities
Accounting & Bookkeeping
- Maintain day-to-day books of accounts with accuracy and timeliness.
Perform bank, vendor, and ledger reconciliations.
Assist in monthly and year-end closing activities.
GST Compliance
- Prepare and coordinate with consultant for filing GST returns.
Reconcile GST returns with books of accounts on a monthly basis.
Ensure proper documentation and compliance with GST regulations.
TDS Compliance
- Compute, deposit, and file TDS returns.
Reconcile TDS with books and vendor ledgers.
Issue TDS certificates and handle related queries.
PF, ESI & Other Statutory Compliance
- Handle PF & ESI filings and monthly compliance.
Manage Skilled Tax (PT) and STPI related filings.
Support in any additional statutory or regulatory compliance as required.
Systems & Software
- Work on accounting software such as Tally / NetSuite for entries and reporting.
Maintain organized financial records and documentation.
Skills & Attributes
- High flexibility to handle multiple finance and compliance tasks.
Solid self-learning ability and willingness to upgrade skills.
Attention to detail and accuracy in reconciliations and filings.
Good organizational and documentation skills.
Ability to work with minimal supervision.
Qualifications
- B.Com / M.Com / CA Inter / CMA Inter or equivalent.
2–4 years of relevant experience in Finance & Accounts.