Job description
The role includes financial responsibilities & tasks, meticulous oversight & management of daily transactions, bank reconciliations, corporate banking activities, General Ledger accuracy, monthly book closure & MIS, managing stakeholders relations, ensuring compliance with tax obligations including TDS and GST filings & annual returns, asset management and assistance with tax assessments. The role also involves supporting audit processes, managing foreign transactions and demonstrating an independent work ethic - to ensure the maintenance training of financial health and compliance of the company.
Keyskills: gst support audit management banking reconciliation corporate tax assistance filing compliance vendor oversight assessment bank daily