Maintain and update financial records (ledgers, journal entries, vouchers, etc.)
Prepare and manage budgets, cash flow forecasts, and financial projections
Process and track payments to vendors, contractors, and suppliers
Monitor receivables and follow up with customers for payments
Perform bank reconciliations and handle banking transactions
Ensure timely and accurate GST, TDS, and other tax filings
Assist in internal and external audits
Coordinate with project teams for cost and expense tracking
Prepare MIS reports and financial statements as required
Ensure compliance with company policies and relevant financial regulations
Support documentation for property transactions and due diligence
Handle project-specific accounting for real estate developments
Liaise with CA firms, auditors, and legal advisors for financial matters
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