Maintain day-to-day accounting entries and records.
Handle accounts payable and receivable.
Prepare and file GST, TDS, and other tax returns.
Bank reconciliation and vendor reconciliation.
Assist in monthly and annual closing.
Maintain ledgers and balance sheets.
Coordinate with auditors during audits.
Manage petty cash and expense tracking.
Generate financial reports as required.
Knowledge of Tally, Excel, and accounting software.
Strong understanding of accounting principles.
Attention to detail and accuracy.
Good communication and coordination skills.