Knowledge of GST return, TDS, Taxation, ITR and Finance is must.
To handle banking work & monthly bank reconciliation of company.
To manage all accounting operations on daily basis including book keeping, preparing and filing ITR, TDS, GST returns, reconciliation of bank accounts, coordination, completion of annual audits, preparing, reviewing of financial reports as necessary.
To check all accounts vouchers like purchase, sales, cash, and bank voucher in accounts books.
To communicate with Banking Authorities for various bank related work.
To communicate with CA and other Account related Authorities for various accounting work.
To Communicate with Vendors and Contractors for account related work.
To maintain daily expenses of office & site.
Sales Invoice Preparation, Recovery follow up, Demand Letter preparation.