· Maintain and update financial records using Tally and Excel.
· Handle accounts payable and receivable transactions.
· Prepare GST, TDS, and other tax-related reports.
· Reconcile bank statements and manage financial records.
· Assist in the preparation of financial reports and statements.
· Process invoices, payments, and expense reports.
· Ensure compliance with accounting policies and regulations.
· Coordinate with auditors and assist in financial audits.
· Support day-to-day accounting operations and reporting.