· Maintaining accurate financial records, including accounts payable, accounts receivable, general ledger, and other financial statements.
· Preparing and analyzing financial reports, such as Profit and Loss Account and cash flow statements.
· Managing the budgeting and forecasting process to ensure that the company's financial goals are met.
· Developing financial policies and procedures to ensure that the company complies with all relevant regulations and accounting standards.
· Managing the company's tax and audit functions, including preparation of tax returns and coordination of external audits.
· Developing financial models and conducting analysis to support strategic decision-making.
· Coordinating with other department for data collection
· Coordinating with Bank, Government officials & auditors for timely completion of tax obligations
· Daily reporting to Management for the revenue receipts vs payments
· Reconciliation Books of Accounts on daily basis including vendors, Bank and ledgers
· Should have knowledge in Tally and MS Office.
Pay: ₹40,000.00 - ₹45,000.00 per month
Work Location: In person