• Maintain accurate financial records using Tally software on a daily basis.
• Perform data entry tasks and ensure the integrity and correctness of financial data.
• Manage accounts payable and receivable, reconciling discrepancies where necessary.
• Assist in the preparation of financial statements and reports for management review.
• Update and maintain ledgers, invoices, and other financial documentation.
• Ensure compliance with tax regulations and assist in tax filing processes.
• Conduct regular audits to ensure financial data is consistent and accurate.
• Provide support in budget preparation and financial planning activities.
• Liaise with internal departments to resolve any accounting-related issues.