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.
Job Type: Full-time
Work Location: In person