Posted:2 weeks ago|
Platform:
Remote
Full Time
•PREPARE AND MAINTAIN FINANCIAL RECORDS, INCLUDING LEDGERS, JOURNALS, AND BANK RECONCILIATIONS. • MANAGE ACCOUNTS PAYABLE AND RECEIVABLE, AND TRACK CASH FLOW. • PREPARE MONTHLY, QUARTERLY, AND ANNUAL FINANCIAL STATEMENTS. • ENSURE TIMELY FILING OF GST, TDS, AND OTHER STATUTORY RETURNS. • ASSIST IN BUDGET PREPARATION AND MONITOR EXPENSES AGAINST BUDGET. • COORDINATE WITH EXTERNAL AUDITORS AND SUPPORT YEAR-END AUDIT ACTIVITIES. • MAINTAIN COMP LIANCE WITH ACCOUNTING STANDARDS AND COMPANY POLICIES. • GENERATE REPORTS FOR MANAGEMENT TO SUPPORT DECISION-MAKING.
K M Adam Tannery
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