1. Prepare and maintain ledger accounts, Bank Reconciliation, Manage monthly/quarterly/annual closing process.
2. Accounts Payables & Receivables: Manage accounts payable and receivable on end-to-end basis.
3. Prepare and ensure timely payment of Import & other foreign currency remittances (A1 & A2) and banking formalities.
4. Reconciliation of GST Liabilities, input and payments as per books and GST portal GSTR2B
5. Responsible for day-to-day vendors cheques / RTGS / NEFT and making payment voucher
6. Petty cash handling.
7. Prepare monthly and quarterly Summary and Online Filing GSTR-1, Filing and payment of GSTR-3B with GST portal for the month
8. Preparing monthly TDS and TDS return filing on quarterly basis
9. Responsible for salary working and Leave record update
10.
Update Treasury (Investment dashboard)
11. Preparation of Documents for Forex, exchange rate booking with treasury bank team
12. Preparation of document for outward remittance to outside India, Form no. 145 & 146 (Formerly - 15CA & 15CB)
13. Computer skills with knowledge of SAP, Tally Prime, MS Office Word, MS Excel, PowerPoint essential, Win Man CA/TDS
Candidate Profile
- Please refer to the job description above.
- Fluency in English with excellent oral and written communication.
- Preferred age: Around 21-30 years