Grantha Hinukale
Tax Analyst at Black & Veatch
Based in Thane, India
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Seniority
Staff
Department
Finance & Accounting
Location
Thane
Industry
Engineering Services
Company size
11K
Contact information
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g•••••••@bv.com
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Background
About Grantha Hinukale
Statutory Compliance and Financial Operations Professional I am a dedicated and detail-oriented Statutory Compliance and Financial Operations Professional with expertise in managing tax compliance, accounts payable and receivable, bank transactions, and MIS reporting. I have experience working with multiple group companies and ensuring smooth operations across functions. My skills in reconciliation, invoicing, and project management make me a valuable asset to any organization. Experience:* Statutory Compliance: I have hands-on experience in filing GSTR1, GSTR 3B, and 2-way reconciliation of GSTR 2B on a monthly basis. I have also assisted in GSTR9 annual return filing. Additionally, I am proficient in reconciling Cenvat Credit and preparing TDS quarterly returns.* Financial Operations: I am adept at raising PO in NetSuite, verifying vendor invoices with MSA/SOW, booking vendor bills, and processing bank payments of vendors, utility and service providers. I have also managed accounts receivable, including verifying and consolidating timesheets of employees for month-end billing, raising invoices for US, Dubai, and domestic clients, and following up with clients for collection. Additionally, I have experience in intercompany invoicing, reconciling receipts, and maintaining foreign exchange gain/loss working for export sales.* Bank Transactions: I have managed bank transaction postings, assigned payments to their respective accounts, and taken care of due amounts. I have also handled bank reconciliation and managed foreign exchange transactions, outward remittance, ODI, and APR.* Other Responsibilities: I have experience in preparing SOW for project management, generating MIS reports, managing petty cash accounting, and bookkeeping for all group companies. Skills-Tax Compliance (GSTR1, GSTR 3B, GSTR 2B, GSTR9)-Accounts Payable and Receivable -Bank Transactions (Fund transfer, NEFT, RTGS, Bank Reconciliation)-Invoicing and Reconciliation -MIS Reporting -Petty Cash Accounting -Bookkeeping
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