Maintain day-to-day accounting records and transactions.
Prepare and maintain invoices, vouchers, and bills.
Maintain and update ledger accounts.
Perform bank reconciliation and verify bank transactions..
Handle petty cash and cash transactions.
Assist in TDS-related documentation and compliance.
Assist with salary and payroll-related accounting.
Prepare data for Trial Balance, Profit & Loss Account, and Balance Sheet.
Verify and reconcile financial records and supporting documents.
Maintain proper filing of accounting and financial documents.
Work on Tally Prime and MS Excel for accounting and reporting.
Assist the Senior Accountant/Accounts Manager with daily accounting tasks.