- Maintain day-to-day accounting records and financial transactions.
- Handle GST compliance, returns, reconciliation and related documentation.
- Handle TDS calculations, deductions, payments and returns.
- Prepare and maintain invoices, vouchers and supporting documents.
- Bank reconciliation and ledger maintenance.
- Assist with monthly and yearly closing activities.
- Coordinate with CA/auditors for accounting and taxation requirements.
- Ensure timely completion of statutory compliance.
- Maintain accurate financial records and reports