Role & responsibilities Record and post day-to-day accounting transactions accurately in Tally ERP. Maintain and reconcile books of accounts, including journals, ledgers. Manage site accounts and store verifications, ensuring proper documentation and compliance. Handle banking transactions such as payments, receipts, bank reconciliations, and fund transfers. Having knowledge in TDS/TCS and GST. Ensure proper maintenance and safekeeping of financial documents and reports. Utilize MS Office tools, especially Excel, for data analysis and reporting. Key Requirements: Proficiency in Tally ERP accounting software. Strong working knowledge of MS Office Knowledge of TDS/TCS & GST. Experience in managing site accounts and store reconciliations. Good organizational analytical and communication skills.