Job Description
Financial Management & Bookkeeping: Maintain accurate daily accounting, ledger categorizations, and month-end/year-end closing processes.Statutory Compliance: Handle GST filings, TDS, payroll, and local regulatory or tax notices.Reconciliation: Conduct monthly reconciliations of debtors, creditors, and bank statements.MIS & Reporting: Generate management information system (MIS) reports, budget forecasts, and cash flow statements.Payment Processing: Verify payment requests and authorize transactions via NEFT, RTGS, or cheques.Inventory & Purchasing Oversight: Coordinate month-end inventory audits and track clinic consumable supplies