- Maintain day-to-day plant accounts and financial records.
- Prepare purchase, sales, and journal entries.
- Manage vendor payments and customer receipts.
- Perform bank and ledger reconciliations.
- Monitor inventory and stock reconciliation.
- Prepare GST, TDS, and other statutory records.
- Generate daily and monthly MIS reports.
- Coordinate with stores, production, and dispatch teams.
- Support internal and statutory audits.
- Ensure compliance with company policies and accounting standards.