Account Handling,Profit and loss,Preparing balance sheet,Auditing document,Reconciles financial discrepancies,Financial Planning
6
No of Requirement
1
7
Min Experiance
2 Years 5 Months
8
Contact Detail
Please Submit Your resume we will contact you as soon as possible
Email - [email protected]
Job Description
Job Description
Prepares asset, liability, and capital account entries by compiling and analyzing account information.
To meet the statutory compliance of filing all types of Taxes.
Summarizes current financial status by collecting information; preparing balance sheet, profit and loss statement, and other reports.
Substantiates financial transactions by auditing documents.
Managing of various accounting activities including preparation & maintenance of bank/cash books, ledger & finalizing all books of accounts.
Generating monthly P&L accounts, trial balance and responsible for drawing balance sheet, reconciliation of bank accounts & control accounts & submitting to the Management.
Bank / Debtors & Creditors reconciliation reporting
Well versed in all online filing procedures of TDS, VAT, Service Tax, Income Tax, EPF, ESCI etc.
As part of Expense Management, formulating annual & monthly budgets and conducting variance analysis for the management if and when required
Assisting top management in designing & implementing financial systems, efficient accounting policies & procedures to facilitate internal financial control and accomplish corporate goals.
To negotiate the procurement of office-related contractual services, including suppliers of office equipment and maintenance services as part of vendor management.
To coordinate auditing and other activities with Company CA on routine basis and as per the requirement.
Reconciles financial discrepancies by collecting and analyzing account information
candidate from C.A firm worked experience also applied.
Experience- 2- 5 years
Skills -Tally, Taxation, Accounting,Consulting, is Mandatory,