Checking the accurate and up-to-date financial records of accouns team.
Prepare and file GST returns, including GSTR-1 and GSTR-3B.
Handle TDS and TCS compliance.
Perform bank reconciliations to ensure accuracy of financial transactions.
Reconcile vendor ledgers and accounts payable.
Assist with basic auditing tasks.
Knowledge of Trial Balance, Profit & Loss and Balance Sheet.
Collaborate with cross-functional teams to ensure financial data accuracy.
Stay updated with changes in tax regulations and compliance requirements.
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