Financial Statements & Monthly GST Filing
Publicada el 2026-07-22
Descripción de la oferta
I need help closing my books each period and keeping every stakeholder confidently informed. The work starts with a full preparation of the Balance Sheet, Income Statement, and Cash Flow Statement from my source data. Once the statements are drafted, I also require a detailed review of all core ledgers—accounts payable, accounts receivable, and the general ledger—to catch posting errors, ageing issues, or mis-codings before we finalise. GST is filed monthly, so accurate, on-time returns must flow straight from the reconciled books. Bank accounts have to tie out as well; I’ll provide statements, and the reconciliation should feed directly into the financials. Throughout the process, I expect clear, courteous communication with both my internal team and a few external contacts (mainly the tax office and auditors). If you already work in Tally, QuickBooks, or a similar package that exports to Excel for review, that fits perfectly with our workflow. Deliverables • Reconciled Balance Sheet, Income Statement, Cash Flow Statement (PDF + editable format) • Reviewed ledgers with noted adjustments • Completed monthly GST return ready for submission • Bank reconciliation report matching statement balances • Brief summary email highlighting key variances and any items that need my sign-off Files and access will be provided immediately after kickoff; I’m ready to move as soon as you are.
Skills
Fuente original: freelancer