JOB BRIEF: A team player with valuable organizational skills, strong accounting and system knowledge, and good planning and prioritizing skills to manage a varied and pressurized workload.
Job Responsibilities
** Day to day Reconciliation bank statement.
** Return Submission-GSTR1, GSTR3B upload and submit all return before due date.
** Input tax credit Reconciliation- Match Monthly GSTR2A with Purchase report.
** Vendor Tax Credit Reconciliation-Identify track and communicate to vendor.
** TDS Deduction from liable payment, Process and deposit tax within due date on every month.