Financial Accounting Reporting 2 Preparation and finalization of Balance Sheet Profit Loss Statement 3 Preparation of Projected Balance Sheet and financial forecasts 4 Monthly Books of Accounts analysis and ledger scrutiny 5 Preparation of Monthly Financial Summary MIS reports 6 Ensure accurate accounting entries and documentation in Tally 7 Cash Banking Operations 8 Petty cash handling and daily cash transactions 9 Managing net banking vendor payments and receipts 10 Bank reconciliation and cash flow monitoring 11 Drafting and handling official emails related to finance and compliance 12 Taxation Statutory Compliance 13 GST compliance - returns reconciliation notices and queries 14 TDS calculation deduction payment and return filing 15 Income Tax computation and return filing 16 Ensure compliance with applicable statutory and regulatory requirements 17 Audit Controls 18 Support internal and external audits 19 Coordinate with auditors consultants and tax authorities 20 Maintain strong internal controls and resolve audit observations Job Type Full-time Pay 30 000 00 - 35 000 00 per month Perks Leave encashment Life insurance Provident Fund Work Location In person