Account Executive

NBC Elite

Dadri, New Delhi, Gurugram District

On-site

INR 400,000 - 600,000

Full time

14 days+
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Job summary

NBC Elite is seeking a finance professional to manage GST compliance, direct tax filings, and overall accounting processes. The role involves meticulous ledger maintenance, journal entries, and timely finalization of accounts.

You will also coordinate with external CAs for statutory and tax audits, support quarterly and annual returns, and ensure reconciliation and accuracy across financial statements.

Responsibilities

  • GST Management: Prepare and file GSTR-1 and GSTR-3B monthly, perform annual GSTR-9/9C reconciliations, execute GSTR-2B vs. purchase register matching to maximize Input Tax Credit (ITC), and manage e-way bill/e-invoicing generation.
  • Direct Tax & ITR Filing: Compute monthly TDS/TCS, deposit liabilities, file quarterly TDS returns (Form 24Q, 26Q), calculate advance taxes, and gather/prepare financial statements for annual Income Tax Return (ITR) filings and Tax Audits (Form 3CD).
  • Core Accounting: Maintain accurate ledgers, execute journal entries, process accounts payable/receivable, and perform monthly Bank Reconciliation Statements (BRS).
  • Finalization of Accounts: Assist in the monthly and year-end closure of accounts, preparing trial balances, Profit & Loss statements, and Balance Sheets.
  • Audit Support: Coordinate directly with external Chartered Accountants (CAs) and auditors for statutory, internal, and tax audit procedures.

Job description

Key Responsibilities
  • GST Management: Prepare and file GSTR-1 and GSTR-3B monthly, perform annual GSTR-9/9C reconciliations, execute GSTR-2B vs. purchase register matching to maximize Input Tax Credit (ITC), and manage e-way bill/e-invoicing generation.
  • Direct Tax & ITR Filing: Compute monthly TDS/TCS, deposit liabilities, file quarterly TDS returns (Form 24Q, 26Q), calculate advance taxes, and gather/prepare financial statements for annual Income Tax Return (ITR) filings and Tax Audits (Form 3CD).
  • Core Accounting: Maintain accurate ledgers, execute journal entries, process accounts payable/receivable, and perform monthly Bank Reconciliation Statements (BRS).
  • Finalization of Accounts: Assist in the monthly and year-end closure of accounts, preparing trial balances, Profit & Loss statements, and Balance Sheets.
  • Audit Support: Coordinate directly with external Chartered Accountants (CAs) and auditors for statutory, internal, and tax audit procedures..
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