Core responsibilities
· Financial record-keeping: Managing the general ledger, handling accounts payable and receivable, and reconciling bank statements to maintain accurate financial records.
· Financial analysis and reporting: Preparing financial statements (like profit and loss, balance sheets), creating budgets and forecasts, and analyzing financial performance to provide actionable insights to management.
· Tax preparation: Computing taxes owed, preparing and filing tax returns, and ensuring timely payment of taxes.
· Regulatory compliance: Ensuring all financial records and statements comply with relevant laws and regulations.
· Auditing: Inspecting account books and systems for accuracy and efficiency, and potentially conducting internal or external audits.
· Payroll management: Processing payroll, collecting timesheets, and managing employee deductions and allowances.
· Financial advising: Suggesting ways to reduce costs, improve profits, and enhance revenues by analyzing financial data and business plans.
Key skills and tools
· Proficiency with accounting software and technology, including TALLY automation.
· Strong analytical and problem-solving skills to identify financial risks and opportunities.
· Excellent communication skills to collaborate with management, external auditors, and other stakeholders.
· Attention to detail to ensure accuracy in financial records and reports.
Pay: From ₹12,000.00 per month
Work Location: In person