Maintain day-to-day accounting entries in Tally / accounting software
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• Prepare and verify vouchers, invoices, and bills
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• Handle GST compliance (GSTR-1, GSTR-3B, reconciliation)
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• Manage bank entries, bank reconciliation statements (BRS)
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• Maintain petty cash and expense records
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• Assist in EPF, ESIC, TDS related work
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• Coordinate with auditors and consultants
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• Prepare monthly reports such as P&L, balance sheet support