- Financial Reporting: Prepare and publish timely financial statements, including balance sheets, income statements, and cash flow reports.
- Transaction Management: Handle accounts payable and accounts receivable reconcile bank statements.
- Tax and Compliance: Compute taxes, prepare returns, and ensure all financial practices align with government regulations and accounting standards.
- Auditing and Analysis: Conduct internal audits, monitor budgets, and perform forecasting to help management reduce costs and maximize profits.
- Data Security: Ensure all financial data remains confidential and secured.
- Having a very good knowledge of PMS Inky Software.
- Bank Reconciliations: Matching internal ledger entries against daily bank statements to ensure every transaction is accounted for and no discrepancies exist.
Periodic & Specialized Task
- Month-End/Year-End Close: Adjusting entries, analyzing account balances, and finalizing monthly reports so management can review performance.
- Financial Reporting: Compiling cash flow statements, balance sheets, and income statements.
- Tax Compliance & Auditing: Ensuring the company adheres to local tax laws and gathering documentation to support internal or external
- Petty Cash Management: Reconciling the physical cash box with recorded receipts.
Pay: ₹25,000.00 - ₹40,000.00 per month
Benefits:
- Flexible schedule
- Food provided
- Provident Fund
Work Location: In person