Maintain day-to-day accounting entries
Handle Tally ERP / Tally Prime operations
Prepare and maintain GST returns (GSTR-1, GSTR-3B)
Manage sales, purchase, journal & bank entries
Perform bank reconciliation statements (BRS)
Assist in monthly and yearly closing of accounts
Maintain proper documentation and accounting records
Coordinate with auditors and internal teams as required
Handle basic compliance and statutory work