- Managing Accounts Department.
- Internal Audit of Company owned distribution setups
- Preparation of projections and feasibility reports.
- Preparation of cash projections.
- Insurance arrangements.
- Preparation of monthly management accounts.
- Development and implementation of Inventory management.
- Payable and Receivable management by drawing aging and payment/receipt policies.
- Working capital management.
- Arrangement of bank finance & preparation of related documents and completion of all formalities concerned with the same.
- Arrangement of surveys and valuation of assets for financial institutions.
- Monthly Sales Tax & Income Tax returns in accordance with requirements of Tax Departments.- Filing of sales tax refund documents in accordance with the requirements of Sales Tax Department and subsequent follow-up with the sales tax department.