Job Type
Work Type
Location
Experience
Auditing Indian company books & preparing Reports.
Reconcile Tally & inhouse systems to ensure accurate financial records.
Audit and scrutinize ledgers for compliance and accuracy.
Match GST records to ensure proper transaction reporting.
Verify TDS and TCS liabilities for tax compliance.
Cross-check 26AS with Tally for correct tax deductions.
Coordinate with the Indian team for necessary approvals.
Prepare and reconcile monthly financial reports.
Reconcile and verify custom duty payments for regulatory compliance