Responsibilities
- Maintain accurate and up-to-date books of accounts in a computerized workplace using tools like Tally
- Finalize financial statements including Profit & Loss , Balance Sheet , and other reports
- Prepare Cash Flow and Funds Flow statements for internal and external stakeholders
- Supervise and coordinate Statutory Audits with external audit firms
- Handle Income Tax compliance including:
- TDS calculation, payments, and quarterly e-TDS return filing
- Tax audits , individual and company return filing , and assessment handling
- Prepare and file GST returns , manage GST audits and assessment proceedings
- Ensure compliance with all statutory and regulatory requirements , including Income Tax, GST , and RBI regulations
- Prepare CMA data and coordinate with banks for Cash Credit renewals , enhancements , and submit stock/production statements , FFRs , etc.
- Manage export documentation ,