Responsible for maintaining and reviewing client books of accounts, performing ledger scrutiny, bank reconciliations, and period-end closures, assisting in financial statement finalization, handling GST compliance, ROC filings, and Income Tax return preparation. The role also involves supporting statutory, internal, and tax audits, ensuring alignment of GST and TDS with books, preparing audit documentation and working papers, and coordinating with clients for data collection, clarifications, and issue resolution while ensuring compliance with applicable accounting and regulatory requirements.