Responsibilities:
- Co-ordination with Bank, Income Tax, Stamp Duty, Service Tax Consultant, Statutory Auditors.
- Maintaining quarterly and monthly internal audit/compliance as per SEBI/BSE guidelines.
- Dealings with banks for PAYIN & PAYOUT.
- Co-ordination with exchange for Additional Base Capital.
- Filing of online TDS Returns and Service Tax Returns
- Looking after administrative matters.
- Assist in the timely, accurate and complete preparation of account reconciliations and financial reporting.
- Assist in the quarterly reviews and annual audit process with external auditors, including financial statements and audit schedules.
- Maintains general ledger by transferring subsidiary accounts; preparing a trial balance; reconciling entries.
- Liaise with external and internal auditors to handle any financial irregularities that occur.
- Prepare financial statements such as monthly and annual accounts.
- Prepare financial management reports including planning and forecasting.
- Creating reports or offering recommendations after internal or public sector audits.
- Discussing terms with your company/client’s suppliers.
- Providing advice on tax affairs.
Essential Skills:
- Knowledge of Accounting is a must.
- Knowledge of Tally is a must.
- Knowledge of Banking is a must.
- Able to do Pay in and Pay out of Fund with accuracy.
- MBA(finance), M.com ,B.com(accounts) with minimum 2-3 years of experience. Broking industry candidates are preferred.