Maintain day-to-day accounting entries and books of accounts
Handle billing, invoicing, and receipt entries
Manage accounts payable and receivable
Prepare bank reconciliation statements
Maintain cash flow statements and expense tracking
Assist in GST-related work (returns, reconciliation, basic compliance)
Support month-end and year-end closing activities
Maintain proper documentation and accounting records
Coordinate with CA / auditor for audits and compliance
Handle basic payroll-related accounting (if required)