Key Responsibilities:
· Prepare Trial Balance, P&L, Bank Reconciliation, GST returns, and audits.
· Maintain journals, ledgers, stock registers, and conduct stock audits.
· Manage billing, quotations, GST filing, and tax compliance.
· Manage multiple accounts, update customer records, and ensure high customer satisfaction.
· Reconcile with CA and bank for monthly books settlement and tax payments and travel to Banks/CA Office etc. for related work.