Gather and monitor financial data (e.g. sales revenues and liabilities) Prepare monthly, quarterly and annual statements (balance sheets and income statements) Forecast costs and revenues Manage tax payments Organize internal audits Prepare budgets
Basic accounting functions- covering vendor payouts, billing, withholding taxes and recons Statutory compliance – TDS, GST, Tax return filing and assessments etc. Finalization of Annual financials and audit Should be excellent in MS Excel
Job description Preparing accounts, invoicing and coordination with CA for tax returns Monitoring spending & budgets and doing online purchases, Auditing and analyzing financial performance Reconciling financial statements
Promote company products and services to customers and negotiate contracts with the aim of maximising profits. Salaries are often enhanced by a good benefits package, including commission-based earnings, bonuses, lunch and allowances.
Interact with US based EVPs/Strategic Business Leaders, Quality, Training, Accounting and WFM to develop accurate projections, cost analysis, P&Ls, ROI, IRR, Cash Flows and receive necessary approvals.
Processing & Reconciling Bank statement. Recording Journal entries Identify Suspense transactions and prepare Query doc. Prepare Balance sheet, P & L and comparing with previous year finalized accounts. Clearing last year accounts payable/receivable
Posted: 3 months ago
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