· TDS payment and returns to be filled of each enterprise periodically on the basis of the chart prepared.
· TDS ,further, procedure be conducted including TDS audit and TDS challan preparation followed by the filling and finalization periodically
· Monthly MVAT and Service tax working and payment with return filling periodically
· Audit of each Company on weekly basis as part of reconciliation. Finally ,month end reconciliation with bank statement to generate reports on the cash flow on every month
· Monitor Petty Cash Flow on two day basis and perform audit on Imprest amount followed by reconciliation with tally and recording the cash balances daily
· Generate sales report and managing the debtors
· Co-ordinating with the auditors and tax department
· Knowledge of taxation like TDS, GST,
· Financial management
· Handle scrutiny of IT
Having work experience in real estate industry
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