Posted:1 month ago|
Platform:
Work from Office
Full Time
• Handle revenue booking, GST–TDS entries, indirect expenses, payroll entries, inter-branch entries, and all related postings in Tally within defined timelines.
• Perform 26AS reconciliation (current and historical), debtor reconciliation, bank reconciliation, and GST–TDS reconciliation to ensure accurate monthly closure.
• Ensure all secretarial and regulatory compliances for FIA and FI Lending, including timely GST returns, tax payments, FD/BG creation, and statutory follow-ups.
• Manage books of accounts for Samvesa and the Gratuity Trust, along with coordination with LIC and other stakeholders.
• Support automation initiatives, 26AS recovery processes, and assist the CFO in strategic finance projects and process improvements.
• Maintain and update financial controls including Risk Control Matrix and support quarterly IFC testing for Accounts Payable and related areas.
Fia Technology Services
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