Key Responsibilities: Oversee and manage day-to-day accounting operations including journal entries, reconciliations, and general ledger maintenance. Handle accounts payable and receivable processes, ensuring accuracy and timely payments/collections. Manage banking operations , including fund transfers, deposits, and reconciliations. Oversee mutual fund (MF) investments , tracking performance and maintaining related documentation. Ensure timely book closing , preparation of financial statements , and coordination for audits. Perform TDS and GST computation, filing, and compliance as per statutory requirements. Coordinate with internal teams and auditors to ensure smooth financial operations. Key Skills: Strong knowledge of Accounting Principles , Direct & Indirect Taxes , TDS , GST , and Banking Operations . Hands-on experience with Book Finalization , Accounts Payable/Receivable , and Reconciliations . Proficiency in accounting software (e.g., Tally). Good analytical, organizational, and communication skills. Attention to detail and ability to meet timelines.