- Maintaining books in Tally / Zoho Books / QuickBooks
- Bank & ledger reconciliations
- Accounts Payable & Accounts Receivable management
- GST working, reconciliation & return support
- TDS working, payments & return support
- Preparation of MIS and monthly financial reports
- Vendor/customer reconciliation and follow-ups
- Assistance in finalization of accounts and audits
- Maintaining proper accounting records and documentation