Maintain accurate books of accounts for all real estate transactions.
Handle accounts payable and receivable, vendor payments, and client invoicing.
Prepare financial statements, MIS reports, and monthly reconciliations.
Track property-related expenses, revenues, and cash flow.
Assist in budgeting, forecasting, and financial planning for projects.
Coordinate with banks, auditors, and internal teams for smooth operations.
Manage client ledger accounts, receipts, and outstanding payments.
Ensure compliance with taxation, GST, TDS, and other statutory regulations.
Support management with financial analysis for investment decisions.
Maintain confidentiality and accuracy of all financial data.