Assist in daily accounting operations such as bookkeeping, data entry, and voucher preparation.
Maintain records of financial transactions using accounting software (e.g., Tally, QuickBooks, or ERP systems).
Support accounts payable and receivable processes.
Help with the preparation of monthly financial reports, cash flow statements, and bank reconciliations.
Assist with GST filing, TDS calculations, and other tax compliance activities.
Coordinate with vendors, customers, and internal teams for invoice clarifications and payments.
Maintain proper filing of financial documents, bills, and receipts.
Support audits and statutory compliance requirements.
Perform other duties as assigned by the senior finance team.