Manage complete accounting cycle including journal entries, general ledger, accounts receivable/payable, reconciliations, and finalization of accounts.
Prepare and analyze financial statements, MIS reports, and cash flow statements on a monthly/quarterly basis.
Ensure compliance with statutory requirements including GST, TDS, Income Tax, PF/ESI, and other regulatory filings.
Oversee payroll processing, employee reimbursements, and expense management.
Monitor budgets, cost control, and financial forecasting.
Liaise with auditors, tax consultants, and banks for smooth financial operations.
Implement and maintain accounting systems, ERP, and internal controls.