Key Responsibilities
1. Taxation Compliance (Direct & Indirect)
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Prepare and file GST returns (GSTR-1, GSTR-3B, Annual Returns) and perform monthly reconciliation.
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Manage TDS/TCS compliance including monthly deposits, quarterly returns (24Q/26Q), and Form 16/16A issuance.
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Calculate Advance Tax, maintain tax schedules, and support Income Tax return filings.
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Monitor changes in GST, TDS, and Income Tax laws and ensure compliance updates.
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Handle tax assessments, scrutiny notices, and correspondence with authorities.
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Maintain accurate tax accounting records and support statutory/internal audits.
2. Banking & Treasury Operations
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Process vendor payments, salaries, reimbursements, and statutory payments through net banking.
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Manage daily NEFT/RTGS/IMPS transactions, payment approvals, and fund transfers.
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Prepare and monitor Bank Reconciliation Statements (BRS) daily/weekly/monthly.
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Track and manage cash flow, ensuring sufficient funds and timely allocation.
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Maintain banking documentation, including LC/Bank Guarantees/Fixed Deposits where applicable.
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Coordinate with banks on queries, account operations, charges, statements, and KYC updates.
3. Accounting & Reporting
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Record tax and banking-related entries in SAP B1 accurately.
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Prepare MIS reports on taxation, cash flow, and fund utilization.
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Support month-end and year-end closing activities related to taxation and banking.
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Maintain vendor reconciliation, ledger scrutiny, and assist in audit documentation.
4. Coordination & Compliance
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Liaise with internal teams, external auditors, consultants, and vendors for tax and banking matters.
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Ensure adherence to internal controls and company financial policies.
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Assist in improving process efficiency across taxation and banking functions.
Requirement:
CA/ BCOM.
SAP B1 compulsory.












