Description
Monitoring preparation of statements including Trial Balance, Balance Sheets, P & L A/c, Client Outstanding, Account Receivable / Payable, General Ledger, Receivable Management. Providing information & Support to internal and Statutory Auditors. GST Returns Preparation and Filling (GSTR1,GSTR2,GSTR3B) Inputs Tax Credit Reconciliation-Match GSTR2A and GSTR3B with Books. Vender Tax Credit Reconciliation-Indentify track and communicate on vender wise input tax disallowances. TDS Returns Preparation and Filling(24Q & 26Q) & Generation of Form16 Preparation of Liability statements of Contractors & Suppliers etc Preparation and Filling of PF, ESI and PT