Maintain accurate financial records and ledgers
Prepare journal entries, vouchers, and account reconciliations
Manage accounts payable and receivable
Prepare monthly, quarterly, and annual financial statements
Generate MIS reports for management review
Maintain general ledger and trial balance
Prepare and file GST, TDS, Income Tax, and other statutory returns
Ensure compliance with government regulations and accounting standards
Coordinate with auditors during internal and statutory audits
Assist in preparing annual budgets
Monitor expenses and analyze variances
Support cost control and financial planning activities
Reconcile bank statements regularly
Monitor cash flow and manage daily cash transactions
Handle online banking transactions and vendor payments
Prepare employee salary statements
Ensure statutory deductions like PF, ESI, PT, etc.
Maintain payroll records
Maintain proper filing of financial documents
Safeguard confidential financial information
Ensure data accuracy and backup
Strong knowledge of accounting principles
Proficiency in Tally / ERP / MS Excel
Attention to detail and accuracy
Good analytical and problem-solving skills
Knowledge of taxation laws