Manage day-to-day accounting operations including journal entries, AP/AR, bank and balance sheet reconciliations, statutory compliance (GST, TDS, EPF), month-end close, financial reporting, budgeting, and internal controls. Support audits, file statutory returns, coordinate with stakeholders and consultants, and provide financial analysis using ERP systems, Excel, and Power BI.
Job Summary:
The Accountant will be responsible for managing day-to-day accounting operations, statutory compliance, financial reporting, reconciliations, and budgeting activities. The role requires ensuring accurate financial records, compliance with applicable regulations, and timely reporting to management.
Key Responsibilities:
Financial Accounting & Bookkeeping
- Manage day-to-day accounting activities including journal entries and ledger maintenance
- Process and maintain accurate accounting records for all financial transactions
- Perform daily bank postings and cash management activities
- Ensure accounting records are complete, accurate, and updated regularly
Accounts Payable (AP) & Accounts Receivable (AR)
- Process vendor invoices and ensure timely payments
- Monitor customer collections and outstanding receivables
- Maintain AP and AR reconciliations
- Coordinate with internal stakeholders for invoice validation and payment processing
Banking & Reconciliations
- Perform daily bank transaction postings
- Prepare monthly bank reconciliations and investigate reconciling items
- Conduct monthly balance sheet reconciliations and ensure timely resolution of outstanding items
- Maintain supporting schedules and reconciliation documentation
Statutory Compliance
- Manage compliance activities related to GST, TDS, EPF, and other statutory requirements
- Ensure accurate deduction, deposit, and reporting of TDS as per applicable regulations
- Prepare and file statutory returns within prescribed timelines
- Coordinate with consultants, auditors, and regulatory authorities when required
- Ensure compliance with applicable accounting standards and regulations
Financial Reporting & Budgeting
- Prepare monthly financial reports and management reporting packages
- Support monthly closing activities and reporting timelines
- Assist in budgeting, forecasting, and variance analysis
- Provide financial data and analysis to support business decision-making
Controls & Process Improvement
- Ensure adherence to internal controls and company policies
- Support audit requirements and provide necessary documentation
- Identify process improvement opportunities to enhance efficiency and accuracy
Required Qualifications/ Key Skills:
- Masters/ bachelor’s degree in commerce, Accounting, Finance
- 4–6 years of experience in accounting and finance operations
- Strong understanding of GST, TDS, EPF, Income Tax, statutory compliance, and accounting principles
- Experience in AP, AR, reconciliations, reporting, and month-end close activities
- Proficiency in ERP systems, Microsoft Excel, and Power BI with the ability to prepare reports, analyse financial data, and support decision-making.
- Accounting, Bookkeeping , Financial Reporting & Budgeting
- Attention to Detail
- Analytical Skills
- Communication & Stakeholder Management
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