Chat

iimjobs

jobseeker Logo
Now Apply on the Go!
Download iimjobs Jobseeker App and get a seamless experience for your job-hunting
08/06 Tanusree Kumar
Consultant at People Konnect

Views:3920 Applications:82 Rec. Actions:Recruiter Actions:31

Assistant Manager - Accounts (2-6 yrs)

Mumbai Job Code: 581169

A) Indirect Tax:

a) Goods & Service Tax:

- Calculating & preparing the State wise following Report for CGST, SGST & IGST.

Summary for GSTR 3B for making monthly Payment

Outward Supply Report -GSTR 1.

Inward Supply Report - GSTR 2.

Reverse Charge Mechanism Report

- Verifying & Preparing the Input Tax Credit Report of GST.

- Review report with Consultant & finalizing data for making payment.

- Process the payment & sent the necessary documents to BU for booking in system.

- Review & prepare the reconciliation of GST account code to ensure accurate accounting.

- Preparation and filing of other Returns/Report as required under GST

b) Sales Tax/VAT : Open VAT Assessments / Appeals / litigations / pending statutory forms

Location - Maharashtra, Gujarat, Karnataka, Tamilnadu, Delhi, UP, Kolkata, Gurgaon.

- Preparation of data and completion of VAT Audits FY 2017-18 for respective states

- Stock Inward & Outward with Reconciliation for VAT Audits.

- Preparation of data and attending / management of all open VAT assessments for respective states.

- Preparing and Maintain records of - C&F- Form, Regular follow up with Customers & Sales Team for any pending Statutory Declaration Forms.

- Resolve the Customer queries relating to issuance Statutory forms.

- Review & prepare the reconciliation of Sales account code to ensure accurate accounting.

- Management of all open VAT/CST Appeals

- Appeals related to Sales Tax Investigation for 3 years

c) Provident Fund, Profession Tax, MLWF, Shop & Establishment:

- Checking & verify the PF & PT data which was provide by Vendor.

- Process the PF & PT payment form site with reconciliation.

- Sent the challan to BU for booking.

- Renew the Shop & Establishment License on regular basis.

- Making the MLWF payment in every six months.

d) Service Tax: (Not applicable now but may have to complete audit/assessment if required by the Department for previous years)

B) Direct Tax - TDS & Advance Tax:

- Preparing the TDS section wise data & Reconciliation for making payment before due date.

- Making the section wise payment with necessary approval

- Maintain the records with Reconciliation for Quarterly Return.

- Review & prepare the reconciliation of TDS (Other than Salary & Salary TDS) account code to ensure accurate accounting.

- Generate the TDS Return Report & file the quarterly TDS Return before due date.

- Provide the Detail summary of below for calculating Advance Tax

TDS deducted by Customer & reconciliation with 26AS.

TDS on Bank Interest etc.

- Timely issue of statutory certificates like TDS, WCT Certificates etc.

- Filling of Revise TDS Return with rectification.

C) Compliances:

a) Statutory Audit & Internal Audit:

- Preparing statutory audit requirement for statutory dues schedules

- Sales Tax with month wise schedule with Reconciliation of Trade & Licensing

- TDS section wise & month wise schedule with Reconciliation.

- Service Tax month wise breakup, Input Tax Credit with Reconciliation.

- Provident Fund & Profession Tax month wise breakup with Reconciliation.

- Statement of total Custom Duty paid during the year.

- Providing the Bank Reconciliation Statement with backup.

- Preparing the Advance Tax net-off Provision statement.

- Preparing the statement of Balances with Government Authorities.

- Proving the information relating the sales tax for Contingent working.

- Resolving any query raised by Auditor

b) VAT Audits: (Now limited to 3 months of 2017-18)

- Preparing VAT Audit related data with reconciliation and state wise.

- Discussing with consultant regarding any issue & resolving the same.

- Preparing the reconciliation statement as per Financial & VAT Audit.

- Prepare the Various Annexures relating VAT Audit.

(Form 704 - Maharashtra, Form 26-UP, Annual Return in Form 52 for UP,

Form 240 for Karnataka, Form 88 for Kolkata etc.)

c) Reporting:

- Preparation of Group Tax reporting requirements

- Coordinating with relevant stakeholder for Quarterly submission of FA report.

- Review & prepare the reconciliation of related account code to ensure accurate accounting

D) Treasury Function: - Ensure effective and efficient funds management process by partnering with AR and AP functions. - Maximize earnings on idle funds of the Company on Deposit with Banks. - Preparation of weekly Fund flow statements to ensure effective utilization and management of funds. - Ensure to complete & be accountable for bank reconciliation statement on monthly basis - Co-ordination with shared services to ensure accounting of bank transactions - Maintaining updated KYC & other records for bank accounts - Maintain the bank Guarantee records

E) Fixed Assets Management:

- Preparing & raising the new CER for respective functions.

- Uploading the required detail in Oracle systems for correctly generating monthly deprecation on every new assets & existing asset with the help of shared service

- Complete accounting of all Fixed Assets transactions on monthly basis

- Preparing the FA data & schedule for Statutory Audit & Tax Audit.

- Review the quarterly & yearly submission report with shared service team.

- Keeping record & physical verification of Fixed Assets with co-ordination from other functions.

F) Custom Duty Payment: - Ensure & make timely process the payment of Custom Duty. - Checking & verifying the related documents & sending the required documents with necessary approval to shared services for booking of Duty payments entry. - Preparing month wise duty payment file

G) Handling insurance coverages for the Company: - Keeping a track of all policies in force and premium timelines. - Coordinate with the stakeholders and generate data for floating quotes with brokers/ insurance companies. - Ensuring timely closure of requirements and renewals.

H) Exports: - Review & submitting the Export Related Documents in Bank. - Follow up with Bank for any query if any & payments.

I) Refund from Custom Department - Preparing the SAD & RD refund related data. - Review, support & follow-up with Custom Refund consultant if any further requirement.

This job opening was posted long time back. It may not be active. Nor was it removed by the recruiter. Please use your discretion.

Women-friendly workplace:

Maternity and Paternity Benefits

Add a note
  • Apply
  • Assess Yourself
  • Save
  • Insights
  • Follow-up
Something suspicious? Report this job posting.