Maintain and reconcile general ledger accounts
- Prepare monthly/quarterly financial statements and reports
- Record daily transactions and journal entries
- Verify financial data and ensure accuracy
- Manage accounts payable and receivable
- Prepare GST/tax filings and compliance reports
- Conduct bank reconciliations
- Support internal and external audit processes
- Assist in budget preparation and variance analysis
- Ensure compliance with accounting principles (GAAP/Indian standards)