Manage the monthly financial closure process, ensuring all cost incurred are properly recorded, reviewing journal entries, and account balance reconciliations along with Manager Finance.
Monthly Reconciliation for Job Working.
General Ledger management
To ensure the general ledger reconcile with sub ledger.
To set up the costing structure properly and provide costing information accurately
Taxes
Work closely with manager finance in Direct Tax and Indirect Tax regulation and assessments.
Assist with compilation of information for preparation of tax returns.
Review GST returns on time to time basis.
Collaborate with external auditors to ensure successful audit results and compliances.
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