Maintain daily accounting records and financial transactions.
Handle purchase, sales, receipts, and payment entries.
Prepare invoices, vouchers, and basic financial reports.
Assist with bank reconciliation and ledger maintenance.
Maintain and organize accounting documents and records.
Support GST, TDS, and other statutory accounting-related activities.
Assist senior accountants with monthly reports and account verification.
Coordinate with internal departments regarding financial and billing information.
Ensure accurate and timely data entry in accounting software.