Check & manage daily accounting tasks including payments, receipts, deposits, and expenses
Maintain purchase, sales, GST, and expense records
Prepare and maintain accurate financial statements, MIS reports, and budget forecasts
Bank reconciliation and matching of statements on a regular basis
Ensure timely filing of GST returns, TDS, and other statutory compliances
Audit financial records to ensure compliance with company policies and regulations
Coordinate with CA for audits, ITR, and GST matters
Analyze financial data to provide insights on cash flow, liquidity, and financial health