Manage day-to-day accounting transactions and maintain accurate financial records.
Prepare and review financial statements, ledgers, and reconciliations.
Handle accounts payable and receivable processes.
Reconcile bank statements and maintain general ledger accounts.
Prepare monthly, quarterly, and annual financial reports.
Manage GST, TDS, and other statutory compliance filings.
Assist with internal and external audits.
Support budgeting and forecasting activities.
Monitor company’s financial performance and identify cost-saving opportunities.
Ensure compliance with company policies and accounting standards.