Job Description:
Bookkeeping & Data Entry: Record daily financial transactions, input vendor invoices, and create client invoices using software like Tally, Xero, or QuickBooks.
Reconciliation: Match bank statements and ledgers to verify the accuracy of financial records and catch discrepancies.
Financial Reporting: Assist senior staff in drafting balance sheets, cash flow statements, and management reports.
Compliance & Tax: Help prepare and file periodic tax returns, such as GST and TDS, ensuring statutory requirements are met.
Audit Support: Organize financial documentation and pull necessary records to assist during internal or external audits. [1, 2, 3, 4, 5, 6]