Bank Reconciliation Perform monthly bank reconciliations to ensure accurate financial records and identify discrepancies GST and TDS Compliance Ensure compliance with GST and TDS regulations including timely filing of returns and maintaining proper documentation Accounts Receivable Management Monitor and manage accounts receivable ensuring timely collection of outstanding invoices and resolving any payment issues Accounts Payable Management Process vendor invoices manage payments and maintain accurate records of accounts payable transactions Financial Reporting Prepare regular financial reports including cash flow statements and profit and loss statements for management review Client Relationship Management Build and maintain strong relationships with clients serving as their primary point of contact Job Type Full time Pay 11 000 00 - 15 000 00 per month Benefits Food provided Health insurance Schedule Day shift Supplemental Pay Overtime pay Education Bachelor s Preferred Language English Preferred License Certification Tally Preferred Work Location In person