Knowledge of Commercial Tax calculation & Returns filing, TDS deduction calculation & Returns filing. Maintaining Books of Accounts as Cash Book, Day Book, Ledgers and Sale/ Purchase Register. Coordinating for Auditing of Accounts related Matters. - Liaisoning work with Government Authorities
We are a 40 year old Accountancy firm, offering a spectrum of business advisory services We are looking for CA Articles with good communication skills. AREAS OF OPERATIONS: 1.) Internal Audit 2.) Bank Audit 3.) Service Tax 4.) Income Tax 5.) TDS / TCS 6.) All kind of return filing 7.) Tax Audit
- Conducting internal audits & monitoring compliances for improving operational efficiencies & effectiveness of internal control systems - To assist in preparing audit plans of assigned units, based on the risk assessment exercise - Responsible for all physical stock verification in the organization - Protect the organization against loss of assets - Perform audits on various aspects of the companys activities ...
#Audit support during Statutory and Group Audit Reconciliation of Party Statements & Confirmations, Follow-up with clients/customers for payments #Preparation of accounting voucher and ledger on regular basis #Journalization of entries related #Budgeting and costing including product costing #Inventory analysis and cost control. Budget V Actual reporting and control #Consumption accounting and analysis of ...
#Timely prepare Excise, Service Tax, TDS and Sales Tax Return #Handling Bank Transaction & Reconciliation. #Daily accounting #Record accruals at month end and responding to vendor / Partner queries #Service tax and excise assessment, audit durin #Qualification: CA - Final #Experience: 4+ Yrs #Preparation of Balance sheet and audit report
Accounts preparation Tax Returns Management accounts Supervision of Book keepers · Be a fresher/ experienced with 2-3 years · Possess strong academic record throughout · Be proficient in Microsoft Office tools, especially Excel · Be fluent in English · Be able to travel internationally independently or in a team
and futures etc. Handling Bank Stock audits and other queries time to time Knowledge of Import export procedures Day to day cash management and fund movement Handling foreign Inward remittance & Accounting of receivables/Forex remittance Handling forex management
Develop proficiency in all the products of Karvy Capital across Operations, Research and Investment Management. Initiate process improvements in the pre and post trade phases of all the products. Develop fund accounting expertise in Debt and AIF categories. Develop expertise to step