Key Responsibilities: 1. Month End Close and Reconciliation Activities: o Perform general ledger reviews and adjustments. o Execute full balance sheet account reconciliations. o Post month end accruals and journal entries. o Conduct data entry and manage financial records. o…
Key Responsibilities: ? Finalization of accounts and financial closures ? Filing of TDS, GST, Income Tax Returns, ESIC, PF, and Professional Tax ? Ledger, bank, and investment reconciliations ? Depreciation workings (as per IT Act & Companies Act) ? Preparing…