• Maintain and update data in Advanced Excel sheets.
• Prepare MIS reports and Excel dashboards as required by management.
• Keep records of bills, invoices, vouchers, and other financial documents.
• Perform regular bank reconciliation and resolve any mismatches.
• Assist the CA Manager in preparing data for financial audits.
• Ensure all financial records are accurate and properly maintained.
• Coordinate with internal teams for data collection and reporting.
• Generate reports and provide data support for management decisions.