Maintain books of accounts for all group companies and directors personal accounts. Liaison with Auditors and other Consultants. Handle day-to-day accounting entries, reconciliations, and financial record-keeping. Support in preparation of MIS reports, financial statements, and data for audits. Ensure compliance with statutory requirements (GST, TDS, ROC filings, etc.) in coordination with auditors/consultants. Manage all banking operations including deposits, withdrawals, online transactions, reconciliations, and fund management. Coordinate with banks for documentation, renewals, and compliance requirements.
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