Maintain complete accounts for all construction sites.
Handle site-wise expenses, contractor bills, labour payments and petty cash.
Maintain purchase records, invoices and vendor accounts.
Prepare site-wise cost reports, MIS and monthly financial reports.
Reconcile bank, vendor and contractor accounts.
Ensure proper documentation of bills, vouchers and supporting records.
Manage GST, TDS and other accounting compliances.
Coordinate with site engineers, purchase team and management.
Maintain accurate records of all accounting-related activities for each project.