To maintain accurate financial records, ensure compliance with statutory regulations, and support the management team with timely financial reporting and budget monitoring.
Key Responsibilities
- Bookkeeping: Maintain daily books of accounts, including ledgers, cash books, and sub-ledgers.
- Voucher Management: Scrutinize and process bills, invoices, and vouchers to ensure accuracy and policy compliance.
- Reconciliation: Perform monthly bank reconciliations and verify cash balances daily.
- Tax Compliance: Assist in the preparation and filing of statutory returns (GST, TDS, or local corporate taxes).
- Financial Reporting: Assist in preparing monthly MIS reports, balance sheets, and profit & loss statements.
- Audit Support: Liaise with internal and external auditors to provide necessary documentation and explanations.
Job Types: Full time, Permanent, Fresher, Internship