Finalization of accounts as per Companies Act and VFS global reporting standards.
Reconciliation of ledgers, GLs, loans, and income/expense items on a daily and monthly basis.
Managing statutory compliances - TDS, TCS, GST (monthly and annual returns), and professional tax.
Treasury operations - Mid-office responsibilities, ALM reports, cost of borrowing, and bank reconciliations.
Daily dashboards, MIS, subvention reports, and income analysis.
Audit preparation and coordination (Statutory, Internal, Tax, and SFT).
Ensuring robust internal controls to prevent revenue leakages.
Involvement in repossession accounting and dealer payout management.
Business registrations and interfacing with tax authorities.
Job Type: Full-time
Pay: ?25,000.00 - ?60,000.00 per month
Work Location: In person
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