Manage day-to-day accounting entries (sales, purchase, expenses, journal vouchers, etc.)
Handle GST, TDS, and other tax compliances (returns filing, reconciliation, etc.)
Prepare monthly financial statements, bank reconciliation, and ledger scrutiny
Maintain accounts payable and receivable and follow up on payments
Monitor inventory accounting and coordinate with store & purchase departments
Support internal and external audits
Manage petty cash and prepare MIS reports for management
Coordinate with CA and management for financial planning and year-end closingGood knowledge of Tally Prime / ERP software
Strong understanding of GST, TDS, and accounting standards
Proficiency in MS Excel and MS Office
Attention to detail and ability to work independently