Maintain day-to-day accounting entries (sales, purchases, payments, receipts, etc.) in Tally or similar software.
Handle GST calculation, return filing (GSTR-1, GSTR-3B), and reconciliation.
Manage TDS calculation, payment, and quarterly return filing.
Prepare bank reconciliations, vendor and customer ledgers.
Assist in preparation of financial reports and documentation for audits.
Coordinate with CA and tax consultants for compliance matters.
Maintain proper filing of invoices, challans, and statutory records.
Support in payroll-related entries and accounting documentation if required.