Accounting & Bookkeeping
- Maintain accurate books of accounts for individuals, corporates, and CSR trust entities.
- Ensure timely and correct posting of entries in Tally and SAP.
Banking & Reconciliation
- Manage banking operations, including payments and receipts.
- Perform regular bank reconciliations to ensure accuracy and completeness.
Taxation Compliance
- Ensure timely deduction and deposit of TDS and GST.
- File TDS and GST returns within statutory timelines.
- Assist in the preparation of data for advance tax payments and assessments under Income Tax and GST.
Audit & Assessment Support
- Coordinate with statutory auditors and provide all required documentation for audits.
- Support income tax and GST assessments by furnishing relevant data and explanations.
MIS & Investment Tracking
- Maintain investment records for individuals and the company.
- Ensure accurate accounting of gains/losses on investments.
General Administrative Support
- Track and process corporate and personal credit card payments.
- Ensure timely payment of utility and operational bills.
Qualification: CA (Intermediate)