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Posted on 5 Sep, 2025
Maintain books of accounts in Tally Prime (TB, P&L, reports).
Manage AP/AR, bank reconciliations, and cash flow.
File GST returns (GSTR-1, 3B, 9) and reconcile ITC.
Handle TDS calculations, filings, and certificates.
Ensure PF, ESI, LWF compliance and submissions.
Prepare MIS reports, variance analysis, and budgets.