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Accounting Services
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- Verification and scrutiny of invoices for their authenticity
- Periodic monitoring of salary advances provided to the employees
- Verification and processing of various reimbursements made to the employees
- Making the data entry and maintenance of the updated books of account in accordance with the statutory provisions
- Periodic review and scrutiny in respect of the correctness of the books of account
- Advice on the funds requirements
- Liaison with the Bankers for timely statements and advises, follow-up with respect to remittances and disbursements
- Reconciliation of the Bank Statement with the books of account and eradication of the Suspense Accounts, if any
- Reconciliation of the accounts of various vendors, suppliers and / or other parties on a regular basis
- Preparation of monthly Management Information System (MIS) Reports in the prescribed format
- Preparation of the Trial Balance and the Annual Accounts at the end of the Financial Year
- Preparation of the various details required for Statutory Audit
- Maintenance of Fixed Assets Register
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