Maintain and update accounting records and files
Process invoices, receipts, payments, and other financial transactions
Prepare and submit tax returns (GST, TDS, etc.) in compliance with local laws
Perform monthly bank, ledger, and account reconciliations
Monitor accounts receivable and accounts payable to ensure timely payments and collections
Assist in the preparation of monthly, quarterly, and annual financial statements
Support the finance team during audits and in the preparation of budget reports
Ensure compliance with company policies and accounting principles
Maintain confidentiality of financial data
Liaise with vendors, customers, and banks as required