Description
Preparation of Balance Sheets of the Companies.
Reconciliation of TDS/VAT/WCT/Service Tax/GST Returns and Challans with Books of Accounts
Preparation of Bank Reconciliation Statements
Involvement with Statutory Filings
Internal Audit from Investors
Due/Financial Diligence in the event of Funding Prospects in the Companies
First Level Approval of all Payments/NEFT/RTGS/Imprest made from the Companies
Closing and henceforth Finalization of Books of Accounts for the purpose of Statutory Audit of the Companies
Involvement in Half Yearly Filings to SEBI in respect of listed entities.
Involvement in RERA Filings
Co-ordination with Banks in relation to Banking Transactions