Maintain and update financial records, ledgers, journals, and accounts.
Prepare monthly financial statements
Perform account reconciliations (bank, accounts payable/receivable)
Manage accounts payable and receivable and monitor cash flow
Assist in GST and other tax compliance — prepare tax returns and filings on time
Support month-end and year-end closing processes.
Maintain accurate accounting software data (e.g., Tally, SAP).
Ensure compliance with company policies and accounting standards