Key Responsibilities:
Maintain books of accounts using Tally (end-to-end accounting)
Record day-to-day financial transactions and ensure accuracy
Handle accounts payable and receivable
Prepare and maintain financial statements and reports
Perform bank reconciliations and ledger scrutiny
Manage GST filings, TDS, and other statutory compliances
Assist in audits and provide necessary documentation
Coordinate with clients for financial data and clarifications