- Maintain books of accounts and ensure accuracy of financial records
- Prepare and file TDS returns; ensure timely deduction, deposit, and reconciliation
- Prepare weekly receivable/ payable reports.
- Handle GST compliance - return filing (GSTR-1, GSTR-3B, GSTR-9), reconciliation (GSTR-2B), and input tax credit management
- Manage banking operations including reconciliations, payments, and liaising with banks
- Assist in monthly, quarterly, and annual financial closing
- Prepare financial statements and support statutory, internal, and tax audits
- Ensure compliance with applicable Ind AS and statutory regulations
- Support in income tax computations and return filing
- Coordinate with vendors, auditors, and consultants as required
