Banking: Handle all banking-related tasks, including deposits, payments, and account
Taxation: Manage corporate tax filings, including Income Tax, GST, TDS, and other applicable taxes. Coordinate with tax consultants for tax assessments and audits.
Bank Reconciliation: Perform daily bank reconciliations to ensure accurate financial reporting.
Provident Fund (PF), ESI, PT: Manage statutory deductions and filings related to PF, ESIC, and Professional Tax.
Payment Follow-up: Regularly follow up on outstanding payments from clients, ensuring timely collection.
Salary Payroll Management: Process monthly payroll, ensuring timely disbursement and accurate calculation of salaries and statutory dues.
Statutory Compliance: Ensure all statutory filings and compliance requirements are met within deadlines.
Sales & E-way Invoice Preparation: Prepare accurate sales invoices and e-way bills in compliance with company and statutory requirements.