Key Responsibilities
• Maintain books of accounts including ledger entries, vouchers, and journals
• Handle accounts payable and receivable
• Prepare monthly, quarterly, and annual financial statements
• Manage bank reconciliations and cash flow statements
• Process invoices, expense claims, and payments
• Handle GST, TDS, and other statutory compliances
• Assist in audits and coordinate with auditors and consultants
• Maintain proper documentation and financial records
• Support management with financial reports and analysis
Skills & Requirements
• Strong knowledge of accounting principles and standards
• Hands-on experience with accounting software (Tally, ERP, or similar)
• Knowledge of GST, TDS, and basic taxation
• Proficiency in MS Excel
• Good analytical and problem-solving skills
• High level of accuracy and attention to detail
• Ability to meet deadlines and work independently