Key Responsibilities 1 Ensure accurate accounting of purchases timely updation in systems 2 Ensure GST timely reconcillation 3 Assist in the preparation of monthly quarterly and annual financial reports 4 Monitor budgets and support financial forecasting and planning 5 Conduct variance analysis and provide actionable insights to management 6 Support month-end and year-end close processes 7 Maintain and reconcile general ledger accounts 8 Ensure compliance with financial regulations and internal policies 9 Coordinate with auditors and assist in audit preparation 10 Participate in process improvement initiatives to enhance financial operations 11 Liaise with other departments to ensure smooth financial workflows 12 Ensure to maintain the Store Tally for inventory monitoring Job Type Full-time Pay Up to 380 000 00 per month Advantages Provident Fund Work Location In person