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Daily Accounting: Lead day-to-day operations including bookkeeping, bank reconciliation, and accurate journal entries.
Financial Reporting: Prepare and finalise monthly, quarterly, and annual financial statements, including P&L, Balance Sheets, and Cash Flow statements.
Cash Flow Management: Manage accounts payable/receivable and ensure timely payments to vendors and collections from clients.
Budgeting: Monitor company budgets, track expenses, and perform variance analysis to identify cost-saving opportunities.
Taxation: Oversee and execute GST and TDS compliance, including timely filings and monthly reconciliation.
Audit Coordination: Serve as the primary point of contact for statutory, internal, and tax audits, ensuring all documentation is ready and accurate.
Process Improvement: Implement and refine accounting systems, internal controls, and standard operating procedures (SOPs).
MIS Reporting: Support management by providing data-driven MIS reports and financial analysis for strategic decision-making.
Team Leadership: Supervise, mentor, and guide junior accounting staff to ensure accuracy across the department.
Office Operations: Assist with general administrative activities, including vendor coordination and office expense management to ensure smooth daily operations.
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