Job description:
- Manage all accounting transactions to ensure on-time payment.
- Assist monthly, quarterly, and annual closings.
- Day-to-day banking operations.
- Banking Reconciliation.
- Reconcile payable and receivable accounts.
- Audit financial transactions and documents.
- Comply with financial policies and regulations.
- TDS computing and submitting tax returns to comply with the law.
- Oversee the software system for financial needs.
- Assess account software applications and accounting control procedures.
- Data Entries in Tally/SAP, GST Compliances, TDS, and ITR.