Maintain daily accounting records and entries
Prepare and verify vouchers, invoices, and bills
Manage accounts payable and receivable
Reconcile bank statements and cash books
Prepare monthly, quarterly, and annual financial reports
Handle GST, TDS, Income Tax returns, and compliance
Maintain ledger, journal entries, and trial balance
Assist in budgeting, auditing, and financial analysis
Monitor expenses and control costs
Ensure accurate documentation and filing of financial records
Support internal and external audits