Manage daily accounting operations including journal entries, ledger maintenance, and bank reconciliations.
Prepare and analyze financial statements such as balance sheets, profit and loss statements, and cash flow reports.
Handle accounts payable and receivable, invoice processing, and vendor/client payments.
Monitor company expenses and assist in budget planning and cost control.
Ensure timely filing of statutory returns such as TDS, GST, and other tax compliances (if applicable).
Assist with audits and support internal and external audit requirements.
Maintain accurate and organized financial records and documentation.
Coordinate with other departments for financial reporting and analysis.
Contact us :
SIVA SOORIYA
8939905918
7904641396