• Day-to-day bookkeeping and accounting entries
• Purchase, sales, receipt, payment & journal entries
• Bank, cash, debtor & creditor reconciliations
• Accounts payable & receivable management
• GST accounting, reconciliation & compliance support
• TDS calculations, reconciliation & compliance support
• Preparation of accounting schedules and financial reports
• Assistance in statutory audit, tax audit & internal audit
• Month-end and year-end closing activities
• Maintaining proper accounting records and supporting documents
• Coordination with clients, vendors and internal teams
• Identifying and resolving accounting discrepancies