Review and Finalisation of complete books of accounts at every month, quarter and year end, followed by monthly pack submissions and other periodic reviews
Responsible for managing Fixed Assets, Accounts Payable, Payrolls, Statutory & Tax Audit
Tax Compliance, TDS Returns filling, Income Tax Returns filling and also to prepare responses for Income Tax
Perform monthly group consolidations and produce various reports and schedules.
Manage and comply with local, state, and federal government reporting requirements and tax filings
Management of the annual external audit
Prepare and publish timely monthly financial statement
Responsible for accounts payable process at group level.
Responsible for Payrolls and Income Tax computations for all employees
Closing of books of accounts for all four group companies as per agreed monthly/quarterly closing calendar.
Managing Fixed Assets registers and booking of Depreciation on monthly basis.
Responsible for departmental planning i.e. month end timetable.
Ensure quality control over financial transactions and financial reporting
Additional controller duties as necessary
Key Skills
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Finance, Balance Sheet, Auditing, Financial Control, Accounts Payable, Statutory Reporting, Trial Balance
Qualification
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CA
Additional Qualification
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Finance, Balance Sheet, Auditing, Financial Control, Accounts Payable, Statutory
Reporting, Trial Balance
Industry
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Information Technology-IT
Functional Area
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Accounting/Auditing/Tax/Financial Services
Job Role
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Accounts Manager