Skills:. Tax Preparation, Bookkeeping, gst, tds, tally, excel, ledger enteries, e way bill,. Company Overview. Buildout Retail Pvt Ltd is a leader in the sneaker care industry, offering high-quality products tailored to a young and fashion-savvy audience. We aim to provide innovative solutions for sneaker enthusiasts to keep their footwear in prime condition. Headquartered in North Delhi with a team of 11-50 employees, we emphasize creativity and excellence and belong to the E-Commerce industry. Discover more at sneakare.com.. Job Overview. We are seeking a dedicated Accounts Executive for a full-time, mid-level position in New Delhi. The ideal candidate will have a maximum of 6 years of relevant work experience. The role involves handling financial records, preparing taxes, and ensuring compliance with applicable regulations. Join us in a dynamic environment where your expertise in accounting practices will contribute significantly to our team's success.. Qualifications And Skills. Demonstrated proficiency in tax preparation with the ability to manage deadlines and ensure accuracy.. Solid experience in bookkeeping, maintaining organized and detailed financial records.. Strong knowledge of gst and tds, ensuring compliance with local tax regulations.. Proficient in tally, with the ability to handle computerized accounting systems efficiently.. Advanced skills in excel, including the ability to use formulas and functions for financial reporting.. Experience with ledger entries, ensuring the completeness and accuracy of financial data.. Familiarity with e way bill generation and management as per government regulations.. Excellent analytical skills with attention to detail and a strong focus on accuracy.. Roles And Responsibilities. Oversee daily financial activities including invoice processing, expense management, and data entry.. Prepare and file gst and tds returns, ensuring compliance with all tax obligations.. Manage accounts receivable and payable, maintaining accurate records and ensuring timely payments.. Generate financial reports and statements, providing insights into business performance.. Liaise with auditors and coordinate the audit process, providing necessary documentation and support.. Monitor cash flow, assess financial risks, and implement strategies for improvement.. Maintain up-to-date records of all financial transactions using tally and other accounting software.. Collaborate with other departments to support overall financial management and decision-making..