Maintain accurate and up-to-date financial records
Prepare financial statements, including balance sheets, profit & loss statements, and cash flow reports
Process and manage accounts payable and receivable
Reconcile bank statements and ledger entries
Prepare and file GST, TDS, and other tax returns
Assist in budget preparation and financial forecasting
Ensure compliance with financial regulations and company policies
Assist with billing, invoicing, and payment entries
Data entry in accounting software (Tally, Excel, or ERP)