- Perform Bank Reconciliation to ensure accuracy between bank statements and company records
- Handle Loan Reconciliation and maintain proper tracking of loan accounts
- Manage GST Filing & Reconciliation, ensuring compliance with applicable tax laws
- Execute TDS Filing as per statutory requirements
- Carry out Statutory Payment Reconciliation and ensure timely payments
- Record and manage Prepaid Expense Entries accurately in the books
- Review and clear Suspense Account Entries on a regular basis
- Assist in Filing annual GST returns and reconciliation statements
- Maintain accurate financial records and supporting documentation
- Assist in audits and provide required financial data
- Coordinate with internal teams and external stakeholders for financial matters
- Strong knowledge of GST, TDS, and statutory compliance
- Familiarity with accounting software
Pay: ₹16,000.00 - ₹20,000.00 per month
Benefits:
- Food provided
- Provident Fund
Work Location: In person