Financial Accounting
Maintain day-to-day accounting records in ERP/Tally.
Record all purchase, sales, journal, payment, receipt, and contra entries.
Prepare monthly trial balance and ledger reconciliations.
Assist in monthly and annual financial closing.
GST & Statutory Compliance
Prepare and reconcile GSTR-1, GSTR-3B, GSTR-9, and GSTR-9C.
Reconcile Input Tax Credit (ITC) with GSTR-2B.
Ensure timely GST, TDS, and other statutory payments.
Coordinate with auditors and tax consultants during assessments and audits.