Financial Record Keeping
Maintain and update day-to-day accounting records.
Prepare and reconcile balance sheets, income statements, and cash flow statements.
Accounts Payable & Receivable
Manage invoices, vendor payments, and collections.
Ensure timely billing and follow-up for outstanding payments.
Taxation & Compliance
Prepare and file GST, TDS, Income Tax, and other statutory returns.
Ensure compliance with financial regulations and laws.
Budgeting & Forecasting
Assist in preparing annual budgets and monthly forecasts.
Monitor actual financial performance against budgets.
Auditing & Internal Controls
Support internal and external audits.
Implement and monitor internal control systems to prevent fraud.
Payroll Management
Prepare employee salary statements.
Handle PF, ESIC, and other statutory payroll compliances.
Financial Analysis & Reporting
Analyze financial data and provide insights to management.
Prepare MIS (Management Information System) reports.
Banking & Reconciliation
Manage bank transactions, deposits, and fund transfers.
Perform monthly bank reconciliations.
Inventory & Asset Management
Track fixed assets and depreciation.
Monitor stock and inventory valuation.
Support Management Decisions
Provide financial advice for cost control and efficiency.
Assist management in investment and financial planning.