Prepare and review monthly quarterly and annual financial statements.
Preparation of financial reports for management, including budget variances, forecast reports and finacial summaries.
Perform monthly reconciliations of all balance sheet accounts.
Ensure compliance with tax regulations and guidelines and assist with audits and reviews by tax authorities.
Provide necessary documentation and assistance for internal and external audits.
Assist with the preparation and filing of local, state and other tax laws including GST, TDS and Income Tax.
Identify and implement process improvements to increase the efficiency and accuracy of accounting functions.
Supervision on daily all types of bank transactions
Assist for Budget and Finalisation of Balance Sheets.
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