Job Description
· Candidate who is a CA should be handling RERA compliance such
as QPR (Quarterly progress reports),TDS, GST Returns in a Real Estate Company.
· Preparation of P&L Accounts and Balance sheet related to
projects and Analysis of Expenses Ratio.
· Management and forecasting of fund Requirements and arrange
funds for routine OPEX transactions.
· Preparation of Monthly payout Liabilities Sheets of Projects
and distribution of funds
Against liabilities
· Filling of Monthly GSTR 1 & GSTR 3B Return and
Reconciliation of GSTR2A with books.
· Finalization of Monthly TDS related liabilities related to
Salaries, Contractors, Professionals, consultants, Hire and on vendors/client
bills
· Handling banking operations, preparation of Monthly Stock
Statement for bankers and other purposes.
· Finalization of books on yearly basis, ensuring provision of un-booked expenses, Statuary Compliance, Capitalization of expenses, Expenses booked in correct head and Ledger Scrutiny.
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