Job Description
The ideal candidate will be able to appropriately identify the needs of both new and current customers in order to aid customers in their success using our product.
This will be done by developing an appropriate level of communication with clients and internal team members to better understand and mitigate any issues the customers may face.
Responsibilities
Manage full-cycle accounting: maintain ledgers, journal entries, and month-end close
Prepare and review monthly financial statements (P&L, balance sheet, cash flow).
Oversee daily cash, bank reconciliations, and petty cash management for all stores.
Monitor accounts receivable and payable; follow up on collections and supplier payments.
Handle GST filing, TDS compliance, and other statutory returns timely and accurately.
Coordinate payroll processing and ensure PF/ESI/other statutory deductions are correct.
Maintain inventory accounting and reconcile store stock values with physical counts.
Prepare budgets, variance analysis, and monthly management reports for the owner.
Supervise and train junior accounting staff and liaise with auditors and tax consultants.
Implement and improve accounting processes, internal controls, and cost-saving measures.