Handle day-to-day accounting operations including journal entries, bookkeeping, and ledger maintenance
Manage accounts payable and receivable; process vendor and customer payments/invoices
Reconcile bank statements and other financial accounts monthly
Prepare GST, TDS, and other statutory returns and ensure timely compliance
Assist in the preparation of financial statements, reports, and audits
Maintain documentation and filing of all financial transactions and records
Support the finance team in budgeting, forecasting, and internal audits
Coordinate with internal departments and external auditors as needed