● Prepare and file GSTR-1 monthly, reconciling the invoice tracker against the books, including correctly capturing advances received and passing related accounting entries across group entities.
● Prepare and file GSTR-3B across all applicable registrations, ensuring all purchase invoices are booked before filing and following up with internal stakeholders on missing invoices.
● Reconcile books with the GST Invoice Management System (IMS) prior to GST payment; manually verify invoices where system data is incomplete.
● Process GST payments, cross-checking invoice data across systems where required.
● Prepare and file the GST annual return (GSTR-9/9C) and supporting reconciliations.