Job description
Maintain accurate books of accounts (ledger, journal entries, vouchers) Prepare monthly, quarterly, and annual financial statements Handle accounts payable and receivable Reconcile bank statements and vendor accounts Manage GST, TDS, and other statutory compliances Prepare and file tax returns in coordination with CA Assist in audits and provide required financial data Monitor expenses and support budgeting activities Ensure compliance with accounting standards and company policies Skills:- Acc…