- Preparation of Balance Sheet/ Cash Flow Statement/ P&L account, Financial Statement & Consolidated Financial Statement
- Preparation of Cost records & getting audit done.
Budgeting :
- Monthly MIS preparation, Profit Center wise MIS preparation & variance analysis
- Banking & fund planning, Bank Reconciliation checking, fund management
- Financing related work (Working capital & Term loan) & its reporting requirements.
- TDS /PF/ESI/PT deduction compilation & ensure timely deposit.
- Ensure that regulatory changes are reflected in the payroll system in a timely and appropriate manner
- Disbursement of lease Rent to landlord.
- To Calculation monthly contribution for each model to Form part of MIS.
- Re-appropriation of revenue Budget.
- Inventory Valuation.
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