- A. Bookkeeping & AccountingRecord daily financial transactions
- Maintain ledgers and accounting records
- B. Invoicing & BillingGenerate invoices and track payments
- Maintain billing records
- C. Payments & ExpensesProcess vendor payments and employee reimbursements
- Maintain expense records
- D. ReconciliationPerform bank and ledger reconciliations
- Identify and resolve discrepancies
- E. Compliance SupportAssist in GST, TDS filings
- Support audit and documentation requirements