Handle day-to-day accounting entries, reconciliations, and reporting.
Prepare and maintain MIS reports, ledgers, and financial statements.
Support audits, compliance, and documentation requirements.
Assist in vendor payments, receivables, and expense tracking.
Generate analytical reports using Excel functions.
Strong proficiency in MS Excel including:
VLOOKUP – for data search and matching.
Pivot Tables – for summarizing and analyzing large datasets.