Bookkeeping & Accounting: Manage accounts payable/receivable, maintain the general ledger, and reconcile bank statements.
Statutory Compliance: Assist in the preparation and filing of GST, TDS, and Income Tax returns on behalf of clients.
Financial Reporting: Prepare trial balances, profit & loss statements, and balance sheets.
Client Management: Act as the primary point of contact for clients, resolving queries and delivering financial insights.
Audit Support: Prepare documentation and schedules required by auditors for month-end and year-end closing.