Key Responsibilities:
Financial Record Maintenance:
- Maintain accurate financial records using Tally ERP, including GST filing and petty cash management.
- Record purchase entries, vouchers, and other transactions accurately using Tally Prime.
Financial Statement Preparation & Compliance:
- Prepare and review balance sheets, income statements, and cash flow statements.
- Ensure compliance with accounting standards and regulatory requirements.
Bank Reconciliation & Issue Resolution:
- Perform bank reconciliations to identify discrepancies.
- Resolve discrepancies and ensure timely resolution of issues.
Tax Returns & Regulatory Reporting:
- Ensure timely submission of tax returns (GSTR-1) and other regulatory reports.
- Monitor compliance with GST and other relevant tax regulations.