Handling, GST, TDS compliances, Service tax, Sale tax, etc
Handling Bank reconciliation of Group accounts.
Managing Accounts Receivable, Accounts Payable, Fixed Assets accounting and General Accounting
Preparation of MIS viz monthly profitability statement, monthly cash flow statement, projected cash flow statement, finalization of ageing of account receivable & payables for submission to the management
Managing cash Book.
Liaison for statutory audit & other division.
Manage banking relations
Recovery of payment & Bad debts.
Meeting with client of all finance related issues.
Specialization field Internal Audit, GST,TDS, Income Tax Bank Reconciliation , MIS ,Bookkeeping & AP/AR and General Accounting.