Maintain accurate records of all daily transactions, including sales, purchases, receipts, and payments.Reconciliation: Match bank statements, credit card statements, and vendor accounts to resolve discrepancies.Tax Compliance: Prepare and assist with filing taxes (e.g., GST, TDS, and Income Tax) in accordance with local regulations.Financial Reporting: Generate regular financial statements (Balance Sheets, Profit & Loss) to provide insights into company liquidity and financial health.Payroll & Expenses: Process employee payroll, manage petty cash, and audit business expenditure reports.