- Manage day-to-day site accounting entries, vouchers, petty cash, and vendor ledgers in Tally.
- Process monthly GST filings (GSTR-1, GSTR-3B) and perform tax reconciliations.
- Handle TDS deductions, e-filing, and compliance specific to government construction contracts.
- Prepare monthly bank reconciliations, vendor balance verifications, and site expense audits.
Preferred Requirements:
- Experience in accounting within civil construction or infrastructure firms.
- Solid knowledge of government contract billing taxes, Tally Prime, and MS Excel.