Oversee and manage the overall accounting processes, including accounts payable, accounts receivable,
general ledger maintenance, and month-end close procedures.
• Ensure accurate and timely financial reporting to support decision-making.
2. Compliance:
• Stay abreast of changes in financial regulations and ensure the company's financial practices comply
with relevant laws and regulations.
• Coordinate with external auditors and regulatory bodies as needed.
3. Tax Management:
• Manage and coordinate the preparation of tax returns (GST & IT) and ensure compliance with all
taxation laws.(TDS, TCS, GST & Personal & Company IT)
• Work closely with tax consultants to optimize the company's tax position.
4. Financial Analysis:
• Conduct thorough financial analysis to identify trends, variances, and opportunities for improvement.
• Provide financial insights and recommendations to senior management.