• Handle daily accounting entries in Tally / accounting software
• Maintain sales, purchase, and expense ledgers
• Prepare and verify invoices, bills, and vouchers
• Manage bank reconciliation, cash book, and petty cash
• Support in GST, TDS, and ITR filing coordination
• Assist with monthly financial reports and MIS
• Keep proper records of imports, exports, and logistics documents
• Coordinate with auditor and management for financial compliance