Key Responsibilities
Manage day-to-day accounting and finance operations.
Prepare and review P&L;, Balance Sheet, Cash Flow and MIS reports.
Handle GST, TDS, Income Tax, PF, ESI and other statutory compliances.
Ensure timely filing of GST returns, TDS returns and other statutory reports.
Manage accounts payable, receivable, bank reconciliation and ledger scrutiny.
Monitor cash flow, expenses, budgets and financial controls.
Coordinate with auditors, consultants, banks and statutory authorities.
Conduct monthly closing and ensure accurate financial reporting.
Verify invoices, vouchers, payments and supporting documents.
Maintain proper accounting records and ensure compliance with company policies.
Identify discrepancies and implement effective internal controls.
Lead and supervise the accounts team.
Provide financial analysis and reports to management for decision-making.