Handle day-to-day accounting entries (sales, purchase, expenses, bank, cash). Maintain ledgers, reconcile accounts, and prepare financial statements. Prepare and file GST returns (GSTR-1, GSTR-3B, GSTR-9, etc.) on time. Ensure proper reconciliation of Input Tax Credit (ITC) with GST portal. Manage accounts payable & receivable, follow-up on payments. Assist with TDS/TCS returns, audits, and other statutory compliances. Generate periodic MIS and financial reports for management