Work from Office
Full Time
Maintain accurate and up-to-date financial records, including ledgers, journals, and supporting documents. Ensure all transactions are properly documented and categorized.
Manage outgoing payments to vendors and incoming payments from clients. Monitor due dates, process invoices, and handle payment reconciliations efficiently.
Reconcile bank statements regularly to ensure consistency between records and actual bank data. Track cash inflows and outflows to maintain healthy cash flow.
Prepare and present monthly, quarterly, and annual financial reports. Provide insights into financial performance to assist with strategic decisions.
Ensure timely and accurate filing of GST, TDS, and other statutory taxes. Maintain compliance with financial regulations and keep records ready for audits.
Assist in the creation of budgets and financial forecasts. Monitor actual performance against budget and report on variances.
Process employee salaries, deductions, bonuses, and reimbursements while ensuring compliance with payroll regulations.
Prepare necessary documentation and support internal and external audit processes by providing required financial data and reports.
Perform other job duties and responsibilities as assigned by management.
JOB RELATED EXPERIENCE & KNOWLEDGE
EDUCATION & SKILL REQUIREMENTS
Dolphy
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