Manage day-to-day sales billing and purchase entries
Record daily payments (inward & outward)
Conduct monthly bank reconciliation
Handle GST compliance – preparation & filing
Process TDS & TCS monthly
Maintain cash & bank voucher entries weekly
Perform quarterly stock audits & Tally reconciliation
Coordinate with management for entries & queries
Prepare receivables/payables reports fortnightly
Manage business & personal accounting as required
Support additional accounting tasks as needed