Role & responsibilities
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