Bookkeeping & Accounting: Record daily financial transactions (sales, purchases, receipts, and payments) in Tally.
- GST Compliance: Prepare and file periodic GST returns (GSTR-1, GSTR-3B, etc.) and perform GSTR-2A/2B reconciliations.
- TDS & Payroll: Calculate and process TDS, manage TCS, and maintain employee payroll, including PF and ESI contributions.
- Reconciliation: Conduct regular Bank Reconciliation Statements (BRS), vendor/supplier reconciliations, and customer ledger clearances.
- Financial Reporting: Generate periodic trial balances, profit & loss statements, and balance sheets to support management decision-making.
- Statutory Audits & Notices: Assist in internal/external financial audits and help prepare data for GST/tax assessments or inquirie