, you will manage daily accounting operations including bank reconciliation, GST and TDS compliance, voucher processing, and petty cash management. You will maintain accurate financial records using Tally Prime, prepare financial reports, support audits, handle accounts payable/receivable and payroll, and ensure timely statutory compliance.
Key Responsibilities:
? Handle bank reconciliation, verify bank statements, and track all incoming and outgoing payments.
? Prepare, file, and maintain TDS returns, ensure compliance, and issue TDS certificates.