Manage day-to-day accounting operations using Busy Software.
Perform bank reconciliation on a regular basis.
Handle TDS calculation, deduction, payment, and return filing.
Prepare and file GST returns (GSTR-1, GSTR-3B, GSTR-9).
Maintain books of accounts and ensure timely data entry of purchase, sales, and journal vouchers.
Coordinate with auditors for financial statements and tax assessments.
Ensure compliance with statutory deadlines.
Maintain vendor and customer ledgers and reconcile balances.
Assist in preparing MIS reports and other financial statements.