Role & responsibilities
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 specialists as required.
Preferred candidate profile
Robust hands-on experience with Tally Prime and MS Excel.
Valuable working knowledge of GST, TDS and related statutory compliance.
Experience in bank reconciliation and banking transactions.