Ø Oversee Accounts Payable , Vendor Reconcillation.
Ø Reconciliation of bank books and scrutiny of General Ledgers.
Ø Verification of bills / Vouchers and processing.
Ø Coordinating with Auditors (CA) for carrying Audit, meeting queries of auditor and providing requirements of the auditors
Ø Maintaining the fix asset register to ensure that Assets are accurately described and categorized in the fix Asset register.
Ø Review and authorize monthly closing of accounts \& MIS reporting on monthly basis.
Ø Ø Ensure Statutory Compliance with GST, TDS, PF, ESIC and Professional Tax.
Ø Manage Banking Operations.
Supervise day to day accounting operations \& efficiently organize work activities to meet daily / weekly / Monthly deadlines and work effectively in team environment
Pay: ₹15,000\.00 \- ₹25,000\.00 per month
Work Location: In person