Job Description
Handle accounting, reconciliation, and financial reporting across group entities.
Specific Responsibilities
- Maintain books of accounts for multiple group entities using Tally/ERP.
- Perform monthly bank reconciliations and vendor ledger reviews.
- Assist in GST filing, TDS compliance, and other statutory obligations.
- Prepare MIS reports for management review.
- Support statutory and internal audits with documentation.
Professional Qualification
B.Com or M.Com. CA Inter or MBA Finance preferred.
Experience
2–4 years in accounting or finance in a manufacturing or trading company.