To check financial records, including day-to-day accounting entries.
Supervise ledger, trial balance, and financial statements.
Ensure timely and accurate reconciliation of funds, securities, and client balances.
Verifies exchange pay-in and payout°File monthly and quarterly GST returns, ensuring accurate input-output credit GST auditor report follow up.
Prepare and manage TDS returns and payments, advance tax payments, and income tax filings.°