Record daily financial transactions in accounting software
Prepare and maintain general ledgers, journals, and trial balances.
Process invoices, receipts, payments, and bank reconciliations.
Assist in monthly, quarterly, and annual financial closing activities.
Support in preparing financial statements (Balance Sheet, P&L, Cash Flow).
Handle accounts payable and receivable.
Reconcile vendor and customer accounts.
Assist with payroll accounting and expense reports.
Ensure compliance with tax regulations and support filing (GST, TDS, VAT, etc.).
Provide data and documentation for internal/external audits.
Maintain proper filing and documentation of financial records.