Maintain daily accounting records and financial transactions.
Prepare invoices, bills, and payments.
Handle accounts payable and accounts receivable.
Maintain bank statements and perform bank reconciliation.
Prepare GST returns and ensure tax compliance.
Maintain company financial documents and records.
Assist in preparing financial reports and statements.
Coordinate with auditors and management when required.
Monitor expenses and maintain proper documentation.
Ensure all financial data is accurate and updated.