- Manage accounts payable, ensuring timely payment to vendors and maintaining accurate records.
- Prepare balance sheets, including journal entries, reconciliations, and general ledger maintenance.
- Assist in GST compliance by preparing returns (BAS) and other tax-related documents.
- Conduct bank reconciliations to ensure accuracy of financial statements.
- Provide support for monthly closing activities, including preparation of financial reports.
📌 Accountant (Chennai)
🏢 AP Management Consultants
📍 Chennai
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