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.