Posted By
Posted in
Banking & Finance
Job Code
1074626
- Looking after the maintenance of books of accounts and various records as per the legal requirements.
- Preparation of Trial Balance, Profit and Loss Account and Balance Sheet.
- Verification of monthly Accounts,
- MIS reports of the Company i.e. Statement of Outstanding Client wise & Bill wise, Verification of Monthly
- Bank Reconciliation Statement and Taking care of Returns related to Indirect Tax,
- Verification of Monthly Budgets & analysis of monthly expenses.
- Supervising day-to-day Accounting works
- Verification of statement showing payments to suppliers weekly / fortnightly.
- Preparation of necessary statements and ensuring timely payment for all statutory payments i.e GST, TDS , Income Tax etc. Verification of statements showing calculations of PF & PT.
- Coordinating with internal & statutory auditors for conducting audits.
- Formulating budgets to determine difference between projected & actual results and implement corrective actions.
- Attested to Preparing work orders in accordance to commercial clauses with the contractors.
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Posted By
Posted in
Banking & Finance
Job Code
1074626