About this role
Key Responsibilities
● Handle end-to-end monthly GST compliance (GSTR-1, GSTR-3B, GSTR-6, ITC reconciliation) across multiple registrations ● Calculate and deposit TDS, Levy, and PF charges monthly; file LWF returns half-yearly ● Maintain Tally/TallyPrime books and perform monthly ledger close with bank reconciliation ● Update and reconcile expense sheets including TDS bifurcation and ad platform entries ● Prepare OD account stock statements and monitor limit utilisation ● Process routine vendor, freelancer, and operational payments including credit card and ad invoices ● Record and reconcile intercompany transactions with the UAE subsidiary; process FZCO payments and maintain subsidiary ledger entries ● Support quarterly advance tax computation and annual GSTR-9 reconciliation ● Assist with statutory, tax, and transfer pricing audit data preparation and coordination
Skills & Capabilities
● B. Com / M. Com equivalent commerce background ● 1–3 years hands-on experience in GST, TDS, PF, and LWF compliance ● Strong TallyPrime proficiency for multi-entity bookkeeping ● Comfortable with bank reconciliation, OD operations, and payment processing ● Proficient in Excel/Google Sheets ● Ability to work independently on recurring compliance with minimal supervision ● Good attention to detail and deadline orientation