Overview
Key Responsibilities:
– Manage general ledger, bookkeeping, accounts payable & receivable.
– Oversee payroll processing, bank & cash reconciliations.
– Deliver accurate monthly, quarterly & annual financial reports.
– Ensure statutory & regulatory compliance (GST, TDS, etc.).
– Support audits & maintain complete documentation.
– Drive process improvements through automation & internal controls.
What You’ll Deliver:
– Timely & error-free reconciliations.
– Actionable MIS & management reports.
– 100% compliance with filing deadlines.
– Continuous improvements in efficiency & automation.
What We’re Looking For:
– Strong accounting & finance expertise.
– Proven ability to improve processes and strengthen compliance.
– Excellent analytical & reporting skills.
– A proactive professional who can provide insights, not just numbers.