Maintenance of proper records, books of accounts and adequate documentation of all transactions.
Funds management (Cash-flow Management).
MIS Reporting on profitability statements including project costing.
Preparation of financials and liaison with external auditors for IFRS, Income tax and Statutory audits.
Co-ordination with consultant for Monthly Softex forms.
Accounts Payable and Accounts Receivable.
Bank Reconciliation on daily/weekly/monthly basis.
Cash flow projections.
Monthly closing of books.
Fixed assets - capitalization & depreciation.
Prepare and generate Payroll reconciliation statement.
Withholding tax compliances and remittances within due time as per statutory compliance.
Ageing list of Creditors & Debtors including follow-up with production team for preparation of invoices.
VAT monthly returns - preparation and submission within due time.
Withholding tax compliances and remittances within due time.
Preparation of FIRC request and follow-up.
Co-ordination with consultant for SEZ monthly, quarterly and annual reports.
Physical verification of fixed assets and tagging.
Coordination with bank and employees.
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