Job description:
- Strong knowledge of accounting standards and financial reporting.
- Good understanding of taxation, statutory compliance, and audits.
- Expertise in reconciliations and balance sheet finalization.
- Proficiency in ERP systems and MS Excel.
- Strong analytical and problem-solving skills.
- Good communication and stakeholder management skills.
Key Responsibilities:
Financial Reporting & Accounting
- Preparation of monthly, quarterly, and annual financial reports.
- Balance sheet preparation and variance analysis.
- General Ledger (GL) scrutiny and reconciliation.
- Handling revenue reconciliations and financial closing activities.
Banking & Investments
- Monitoring and accounting of Fixed Deposits.
- Investment accounting and tracking returns.
- Managing advance tax payments and related accounting entries.
Taxation & Compliance
- Handling Form 26AS reconciliation.
- Ensuring compliance with direct and indirect tax regulations.
- Managing statutory filings and regulatory reporting.
- Supporting internal and external audits with required documentation.
Audit & Controls
- Coordinating with auditors for statutory and internal audits.
- Ensuring compliance with financial policies and internal controls.
- Supporting outward audit requirements.
Payroll & Other Financial Activities
- Supporting payroll processing and reconciliations.
- Assisting in financial planning and budgeting activities.
- Ensuring adherence to financial and statutory compliance requirements.