Prepare monthly, quarterly, and annual financial statements Handle GST compliance – returns, reconciliation, and audits Manage TDS, PF, ESI calculations, payments, and filings Perform bank reconciliation statements (BRS) Assist in statutory audits and internal audits Prepare MIS reports for management Monitor receivables and payables Ensure compliance with Companies Act and Income Tax Act Coordinate with auditors, consultants, and banks Supervise junior accounting staff when required