- Maintain accurate books of accounts and ledgers.
- Handle GST returns, TDS filings, and statutory compliance.
- Assist in audits by preparing schedules and reconciliations.
- Manage payroll, reimbursements, and statutory contributions.
- Support management with MIS reports and recommendations.
- Perform inter-branch reconciliation to ensure accuracy across multiple locations.
- Prepare and review Bank Reconciliation Statements (BRS).
- Conduct stock audits and verify inventory records.
Pay: ₹15,000.00 - ₹25,000.00 per month
Work Location: On the road