GST Compliance ie, Return workings, filing& payment( GSTR-1, GSTR-3B) GSTR-2 A Reconciliation with Books. MIS preparation as per management requirements TDS Workings, payment. Co-ordination with site for sales Bills & passing entries in software, follow-up for payments Looking over Day-to-Day Accounting Handling Bank Credit Facilities (Team Loan,OD,CC)Fund transfer (NEFT & RTGS), bg Margin as per the requirement Doing Quarterly Sales Reconciliation & Ledger Scrunity of Debtors Analysis & Scrunity of General Ledgers Co-ordinating for Statutory Audits & Scrunity with Auditors.
Employement Category:
Employement Type: Full timeIndustry: Construction & EngineeringFunctional Area: Finance & AccountsRole Category: AccountantRole/Responsibilies: Accounts Banking Process