Key Responsibilities Prepare examine and analyze financial statements and reports Manage the general ledger and ensure accuracy in financial records Reconcile bank statements and other financial documents Assist in month-end and year-end closing procedures Support external and internal audits by providing necessary documentation Ensure compliance with accounting regulations standards and laws Maintain and update vendor records Review and verify invoices for accuracy Review and approve journal entries reconciliations and financial transactions Oversee the preparation of financial statements reports and month-end year-end closings Manage and maintain financial records including accounts payable and receivable invoices and bank statements Analyze financial data to identify trends discrepancies and opportunities for improvement Ensure compliance with financial regulations and company policies Communicate and collaborate with internal and external stakeholders such as vendors clients and auditors Assist in the implementation and improvement of financial systems and processes Contribute to the development and execution of financial strategies and initiatives Ensure compliance with federal state and local tax regulations Prepare reports on TDS payable TDS deducted and reconciliation with the tax authorities Monitor changes in TDS regulations and update the organization accordingly Assist in the preparation and filing of GST returns and TDS returns EXPERIENCE Bachelor s degree in Accounting Finance or a related field 1-2 years of accounting experience Fresher is also applicable Tally - 1 year experience Proficiency in MS Excel and accounting software Job Type Full time Pay 18 000 00 - 25 000 00 per month Education Bachelor s Required Experience Tally 1 year Required Language English Required Work Location In person