- Handle day-to-day accounting and financial transactions.
- Maintain and update accounting records and financial statements.
- Manage GST-related activities, documentation, and compliance.
- Handle RTGS and NEFT transactions and coordinate with banks as required.
- Prepare and verify invoices, payment records, receipts, and other financial documents.
- Perform bank reconciliation and ensure accuracy of financial records.
- Monitor accounts payable and receivable.
- Coordinate with internal teams, vendors, and banks for finance-related matters.
- Ensure timely and accurate completion of accounting and finance-related tasks.
- Maintain proper documentation and records for audit and compliance purposes.