Key Responsibilities:
- Oversee accounting operations, bank reconciliations, and GOP transfers
- Manage cash flow planning and monitoring:
- Support MIS preparation and financial reporting
- Handle TDS, GST (GSTR-1, GSTR-3B)and statutory compliance
- Coordinate with CA for filings and audits
- Resolve issues related to ledger entries, e-invoicing, and InnKey mapping
- Maintain records including bank statements, prepaid expenses, inventory, and fixed assets
- Support audit processes and ensure compliance across units
Skills Required:
- Robust accounting & reconciliation skills
- Expertise in cash flow management:
- Knowledge of GST, TDS, and compliance
- Proficiency in ERP/PMS systems
- Analytical mindset with attention to detail
Requirements:
- 5-8 years of experience (preferably in hospitality)
- Experience in multi-unit accounting preferred