Manage day-to-day accounting operations.
Prepare and maintain financial statements, ledgers, and reports.
Handle accounts payable and receivable, reconciliation of bank statements.
Maintain accurate records of all financial transactions.
Prepare monthly, quarterly, and annual financial reports.
Assist with budget preparation and financial forecasting.
Ensure compliance with tax regulations and timely filing of GST, TDS, and other returns.
Coordinate with auditors for internal and external audits.
Monitor cash flow and provide management with financial insights.
Support payroll processing and employee expense reimbursements.