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Prepare and maintain monthly, quarterly, semi-annual, and annual financial reports and statements.
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Prepare monthly bank reconciliation statements accurately.
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Handle the preparation, verification, and processing of all types of bills and payments.
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Prepare the company’s annual financial report.
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Review and ensure timely submission of VDS, TDS, VAT, and tax returns in compliance with applicable rules and regulations.
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Prepare yearly income tax returns, monthly VAT returns, and other required submissions to tax authorities, along with all necessary supporting documents.
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Perform any other accounting or finance-related legal tasks assigned by management.
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Collaborate effectively within a team and coordinate with different departments.
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Assist in facing both internal and external audits annually.