Maintain day-to-day accounting records including sales, purchases, expenses, journal entries, and reconciliations
• Manage Tally ERP for all accounting functions and ensure accurate data entry
• Prepare and file GST returns, perform monthly reconciliations, and manage e-Invoicing and E-Way Bills via government portals
• Handle TDS calculation, payment, and return filing
• Perform bank reconciliations and oversee cash flow management
• Manage petty cash, vendor payments, and ledger reconciliation
• Assist in generating MIS reports, P&L summaries, and support internal/external audits
• Maintain gold and diamond weight tracking if applicable
• Coordinate with CA, tax consultants, and auditors for timely statutory compliance
• Monitor due dates and ensure accurate filings on portals like GSTN, TRACES, MCA, and Income Tax