Assist in the preparation of financial statements and reports.
Record and maintain accurate accounting transactions in ledgers and accounting software.
Perform bank, vendor, and customer reconciliations.
Assist in accounts payable and accounts receivable functions.
Prepare and file tax documents (e.g., GST, TDS) under the guidance of senior staff.
Support monthly and year-end close processes.
Help maintain financial data in spreadsheets and accounting systems.
Assist auditors with documentation during audits.
Maintain and organize financial records for compliance and future reference.
Perform other administrative and accounting duties as assigned.