plastemartjobs.com Email: jobs@plastemart.com, hr@plastemart.com Download Date: 7/9/2025 7:38:19 AM ________________________________________________________________________________________ RefNo: CA - 35010 Gender: Male Age: 29 Designation: Article Assistant Highest Education Level: Other Preferred Location: Mumbai Education Details: CA Final - Pursuing 2018-Present CA Intermediate- 2019 The lnstitue of Chartered Accountants of India B.Com Reena Mehta College 2014-2017 Skill Sets: Proficiency in MS-Office, Tally ERP, WEB-XBRL Analytical & problem solving skill ? Well-versed in English, Hindi, Marwadi Work Experience: 8.5 Work Experience Details: Article Assistant From - Dec 2018 - March 2021 Company profile - CA firm Job profile - Tax Audits & Income Tax Returns of Companies, Partnership firms and Individuals. Filed TDS Returns and TDS corrections. Finalization of Accounts (P&L, Balance sheet, Cashflow Statement) Prepared replies to notices issued by Income Tax department. Compliance Management Filing of Annual Returns and other forms with ROC(including XBRL). Preparation of Directors Report, Registers and drafting of Notices. Incorporation of Company, Registration of Firm, Striking of name application etc. GST Accounts & Records To Maintained Under GST-Stock Register, Input tax credit availed, Output tax payable and paid. Return Submission- GSTR1,GSTR2,GSTR3,GSTR3B Upload and Submit all return using secure data network. Verification & filling gst annual audit report Inputs Tax Credit Reconciliation- Match GSTR2A and GSTR2 to Minimize differences to maximize setoff. Vender Tax Credit Reconciliation-lndentify track and communicate on venderwise Input tax disallowances. Tax Ledger-Maintain, review, reconcile tax ledger HSN/SAC code Co-ordination with Purchases And ITdeptt.Maintain Itemwise, servicewise correct HSN/SAC code in SAP. MIS Dashboard-Manage tax compliance. Accountant From -March 2015 - May 2017 Company profile - CA firm Job profile - Preparation, maintenance and report of cashflow statement, processing vendor payments, bank reconciliation, TDS etc. Handling overall project wise accounting. ________________________________________________________________________________________