09 Sep
|
AQUAGREEN TECH SOLUTIONS
|
India
09 Sep
AQUAGREEN TECH SOLUTIONS
India
Key Responsibilities1. Financial Accounting
Maintain day-to-day accounting records in Tally Prime.
Verify and record purchase, sales, and expense invoices.
Maintain ledger accounts and ensure proper bookkeeping.
Prepare monthly, quarterly, and annual financial reports.
GST Compliance
Prepare and verify GST sales and purchase data.
Reconcile GSTR-1, GSTR-3B, and GSTR-2B.
Coordinate with CA for GST return filing.
Ensure timely compliance with GST regulations.
TDS & Taxation
Deduct and deposit TDS as per applicable provisions.
Maintain TDS records and reconciliation.
Coordinate with CA for income tax compliance.
Prepare required taxation reports.
Banking & Cash Management
Handle online banking transactions.
Monitor cash flow and fund requirements.
Perform bank reconciliation statements (BRS).
Manage cheque payments, RTGS, NEFT, and vendor payments.
Accounts Receivable
Generate customer invoices.
Track outstanding payments.
Follow up with clients for payment collection.
Prepare aging reports and debtor statements.
Accounts Payable
Verify supplier invoices and purchase orders.
Process vendor payments.
Maintain supplier accounts and reconciliations.
Resolve payment-related issues with vendors.
Payroll Management
Process employee salaries.
Maintain attendance and payroll records.
Calculate PT, PF, ESIC, and other deductions.
Coordinate statutory compliance activities.
Project Accounting
Monitor project-wise expenses and revenues.
Track project profitability.
Prepare project cost analysis reports.
Support management in project budgeting.
Inventory & Asset Management
Maintain records of company assets.
Monitor material purchases and consumption.
Coordinate with stores and project teams.
Verify stock records periodically.
MIS & Reporting
Prepare daily, weekly, and monthly MIS reports.
Generate management reports for decision-making.
Analyze expenses and cost tren
📌 Accounts Manager Akurdi (India)
🏢 AQUAGREEN TECH SOLUTIONS
📍 India