Roles & Responsibilities
Prepare, examine and analyze accounting records/financial statements/AR/AP/Invoice processing/Petty cash/Cash management/Cash book/Cash budget.
Responsible for Day to Day accounting operations based on accounting principles
Coordinate with Ireland and Netherlands Accounts team on daily basis without failure and update accordingly
Filing of GST Returns and follow up with relevant stakeholders inside and outside the company
Should have Taxation knowledge (TDS, Sales/ service Tax).
Should maintain trackers of all the payments, billing, updates, queries, issues, etc.
Collect every month bank reconciliation statement and verify with your ledger and cash book.
Provide analysis of Balance Sheet and Income Statement accounts as assigned
Work with internal departments, as well as outside agencies, on various accounting issues.
Prepare & presentation of weekly, monthly reports,
Requires minimal supervision to manage daily activities and is able to meet published deadlines
Handle Foreign Remittance process
Handle all audits
Preparation of budgets-Monthly, Quarterly, Half yearly and Annually
Must and should have minimum 4-7 Years of experience in Finance and Accounting system.
Must have working knowledge on MS Office, Excel Sheets, Pivot Table, VLOOKUP, HLOOKUP and mailing
Must have knowledge in Tally and other accounting software.
Must and should have good communication and interpersonal skills
Build and maintain positive working relationships with co-workers, other employees
Must be Graduate / Post Graduate with Accounts academic backgrounds in English with good academic track record
Languages \ known
Able to communicate in English, Hindi and Telugu
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