- Manage day-to-day accounting operations and maintain accurate financial records using Tally/Tally Prime.
- Maintain and review ledgers, journal entries, vouchers and supporting documentation.
- Handle GST and TDS-related compliance, filings and statutory records.
- Perform bank reconciliations and monitor day-to-day banking transactions.
- Assist in account finalisation and preparation of financial statements and management reports.
- Ensure timely recording and reconciliation of financial transactions.
- Maintain proper documentation for audit and statutory requirements.
- Coordinate with management, auditors and external professionals as required.
Preferred candidate profile
- Robust hands-on experience with Tally Prime and MS Excel.
- Good working knowledge of GST, TDS and related statutory compliance.
- Experience in bank reconciliation and banking transactions.