1. Support general ledger accounting, closing and reporting for IFRS, local statutory and tax books. 2. Assist Finance Manager on monthly closing with 100% account reconciliation. Ensure timely closing and deliver accurate financial report in compliance with statutory requirements and IFRS. Connect
tallyCoordination with banker on day to day basisAssisting consultant in ETDS and Service tax returnsPreparation of central excise invoices and updation of records for the sameAssisting to consultant for monthly excise register maintenanceProduce error-free accounting reports and present their results.Review
including restructuring and lease reserve balances, account reconciliation and SEC team reporting requirements including lease commitment report and contractual obligations. • Point of contact for PwC and SOX teams for PBC request and any adhoc requirements. Ensures compliance with SOX related to WPR
computation & its e-payments & returns. • Prepare Aging Schedule for old reconciling items and follow up for clearance. • Scrutinize and reconciling Debtors and creditors Accounts basis / Receivables & Payables. • Preparing Local Body Tax (LBT) data and Documents. • E-payment of taxes with filling forms Desired Candidate Profile 1) Candidate should be preferably from Vasai/Virar or closeby location. 2) Should be ...
recommendations Improve systems and procedures and initiate corrective actions Assign projects and direct staff to ensure compliance and accuracy Meet financial accounting objectives Establish and maintain fiscal files and records to document transactions