1. Handle daily accounting, vendor billing, and site expense records. 2. Prepare GST returns, TDS, and coordinate with external CA. 3. Manage labour payments, bank reconciliations, and supplier ledgers.
1. Handle daily accounting, vendor billing, and site expense records. 2. Prepare GST returns, TDS, and coordinate with external CA. 3. Manage labour payments, bank reconciliations, and supplier ledgers.