Prepare and maintain financial statements, including balance sheets, profit and loss statements, and cash flow reports.
Manage accounts payable and receivable, reconcile bank statements, and monitor cash flow.
Ensure timely and accurate processing of invoices, expense reports, and payroll.
Support budgeting, forecasting, and financial planning activities.
Conduct regular audits to ensure compliance with financial regulations and internal controls.
Prepare and file tax returns, GST, TDS, and other statutory reports.
Collaborate with external auditors and assist during audit processes.
Maintain confidentiality of financial information and ensure data integrity.