- Annual Budgeting and monthly analysis of variation in budget and actuals
- Ensuring daily reconciliation of cash and credit card and monthly reconciliation of gift vouchers.
- Ensuring monthly reconciliation of receivable and payable
- Ensuring direct and indirect tax compliance, return filing and assessment
- Liaison with tax consultants and maintaining compliance charts
- Preparing monthly cash flow, store wise and entity wise profitability, board meeting docket and other MIS , supervising all MIS and Taxation staff
NOTE : The candidate will be responsible for all group entities
Only CA candidates may apply
Candidates should be from service industry
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