Maintenance of Books of Accounts on Tally or other applicable software; preparation of Balance Sheet and Profit & Loss Account; Liaisoning with auditors for Finalization of Accounts.
Bank Reconciliation / preparation & analysis of Cash Flow Statements of all bank accounts.Computation & compliance of TDS, Service Tax and Income Tax. Billing & management of Bills Receivables. Payment to parties and Vendor Reconciliation.
Systematic Maintenance of Records including MIS required by management.
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