CTHR solutions
Location
Bangalore | India
Job description
Reconciliations of all the Balance Sheet Items month on month in the system. GST, TDS, PT Reconciliation with HO Finance. Bank reconciliation and ensuring the cheques are presented on time by the vendors. Tracking Start-up Rent receivables and reconciliation of Invoices raised with seat register of Start-ups. Reconciliation of entries/cleaning up of un-noticed entries in the system from inception.
Providing necessary assistance in e-filing the audited Financial statements with the Income Tax authorities Assist in the processing of balance sheets, income statements and other financial statements according to legal and company accounting and financial guidelines.
Update financial data in databases to ensure that information will be accurate and immediately available when needed.
Manage all the financial aspects within the agreements of Warehouses MOAs/SOWs if any and ensure that all the compliances as per MOA are met in line with the Grants of the Government.
Following SOP of the company for payment procedures of 10000 Startups/Regional Office/Product council etc.,
Job tags
Salary