Maintain books of accounts and day-to-day accounting entries
Handle finalization of accounts (Monthly / Quarterly / Yearly)
Manage GST compliance – GSTR-1, GSTR-3B, reconciliation, notices, etc.
Handle TDS – deduction, return filing, and compliance
Prepare Bank Reconciliation Statements (BRS)
Manage Debtors & Creditors reconciliation
Prepare MIS and management reports
Coordinate for Statutory, Internal & Tax Audits
Supervise and guide junior accounting staff
Handle invoicing, payments, receipts and expense control
Support management in financial planning and reporting