CA Mihir Shah
CA Mihir Shah
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Finalization of accounts Compliance work Co Ordinating with Auditors Coordinating work with the team members and handling them
CA ARTICLEHSIP
Responsibilities Manage all accounting operations based on accounting principles Prepare budget and financial forecasts Publish financial sta
Working cohesively with a financial team Providing an analysis of integral business decisions Supporting and helping to reach long and short term financial goals
Accountabilities 1 Conducting Statutory Internal Stock Bank Audits Project Financing working capital appraisals from Banks
Skills Accounts Executive Education VAT TDS Service tax Accounting ITR Role Book Keeper Accounts Assistant Experience 0 50 Years
Preparation of voucher amp maintain Cash amp Bank Transactions and Issuing of Cheques Bank Reconciliation amp Branch Reconciliation Branch Accounts Reconcilia
Accounting auditing filing of TDS GST return Bank Reconciliation Handle petty cash Cheque Slip Receipts Ledger Analyses Account Receivable Payable
Keep accurate records for all daily transactions Prepare balance sheets Process invoices Record accounts payable and accounts receivable
Tally and Excel proficiencyAccount handling abilityAbility to record day to day expenditure on tallyAbility to make bills in a proper manner
Fixed asset activity payroll accounts payable transactions debt activity recording of revenue and Expenses etc Maintains organized set of detailed records and f
1 Provide financial reports and interpret financial information to managerialstaff while recommending further courses of action 2 Advise on investment activities and provide
Should have an understanding of working on Tally CRM systems and Quick Books Ability to participate in commercial related work i E preparing quotation preparing invoices service order