Roles and Responsibilities Manage day-to-day accounting operations, including voucher entry, bank reconciliations, and TDS compliance. Prepare financial statements, balance sheets, and other reports using Tally Prime software. Preparation and filing of GSTR-1 and GSTR-3B Reconciliation of GSTR-2B with books of accounts Working knowledge of TDS under all major sections Preparation of working files and ensuring timely deductions and payments Finalization of accounts for companies and individuals Handling of ledgers, adjustments, and preparation of financial statements Desired Candidate Profile Proficiency in Tally Prime software with knowledge of GST filing procedures. Strong understanding of accounting principles, including bank reconciliation and TDS calculations. Excellent analytical skills with attention to detail for maintaining accurate records.