- GST Audit & Compliance Documentation
- Prepare and maintain comprehensive GST audit documentation.
- Ensure all financial records are accurate, updated, and fully compliant with current statutory requirements.
- Coordinate effectively with external auditors for timely, error-free submission of GST returns.
- Cash Flow Monitoring & Forecasting
- Track and report daily cash flow metrics to ensure sufficient operational liquidity.
- Assist the finance management team in forecasting and planning future cash requirements for the business.
- Odoo ERP Implementation Support
- Play an active support role in the deployment of the Odoo ERP system.
- Manage accurate data entry and foundational system configuration specifically for the accounts team.
- Ensure deadlines are met for a smooth and timely system implementation.
- Banking Operations & Reconciliations
- Process daily bank payments and receipt entries accurately within the accounting system.
- Document all banking transactions properly and perform rigorous reconciliations against physical bank statements.
- Bank Position Management
- Monitor, analyze, and report the daily bank position.
- Ensure funds are effectively allocated and managed to fulfill the companys daily operational needs.
Preferred candidate profile
- Education: B. Com , M. Com, BAF
- Technical Skills: Robust understanding of GST laws, manual/systematic bank reconciliation, and general ledger operations.
- System Knowledge: Prior exposure to Odoo ERP implementation or usage is highly preferred (experience with Tally ERP or similar systems is a plus).
- Core Competencies: Analytical thinking, high precision in data entry, timely task execution, and strong communication skills for auditor coordination.
📌 Executive Accounts (Mumbai)
🏢 Rentease
📍 Mumbai
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