Key Responsibilities
Maintain accurate records of financial transactions.
Perform bank reconciliations and ledger scrutiny.
Handle GST, TDS, and other statutory compliance.
Prepare financial reports and analyze data using Advanced Excel.
Coordinate with internal teams, vendors, and clients on account-related matter.
Required Skills
Solid knowledge of accounting, taxation, and financial principles.
Proficiency in Advanced Excel (Pivot Tables, VLOOKUP, IF formulas, reporting, etc.).
Excellent communication and coordination skills.
Solid analytical ability with high attention to detail.