Job Description
Skills:
Business Acumen, Tax Preparation, Bank Reconciliation, Account Reconciliation, Financial Statements, Finance, Microsoft Excel, Accounting,
Objective Of This Role
Manage the Accounts Flow of the Organization.
Overview & Achieve the Organization Goals.
Stay Updated with Upper Management & Employees.
Coordinate among Inter Depts for Easy Work Flow & Reportings.
Responsibilities
Manage the Flow for Business Working Capital.
Maintain a Database for Reportings, Accounts Payable & Receivables.
Maintain Financial Statements at required Time Frame.
Analyse the Ratios & Key Performance Business Indicators.
Budget Preparation & Overview.
Compliance to Statutory & Legal Requirements.
Required Skills & Qualification
1-1.5 Years of Experience in Accounts Role Reporting Directly to Upper Management.
Ability to Maintain Multiple Accounts.
Ability to Understand & Negotiate Costing.
Proficiency with CRM Softwares and an Aptitude for learning New Systems.
Preferred Skills & Qualification
Bachelors Degree or Equivalent in Business Accounts.
Experienced in Tally Accounting & Excel Reportings.
Experienced in Developing Internal Process & Filing Systems.
Having Hands on GST & TDS Return Filing.
Income Tax & ROC Audit Finalization.