Financial reporting: Preparing and maintaining financial statements, balance sheets, and other reports Accounting records: Ensuring the accuracy and integrity of accounting records, and ensuring compliance with accounting standards Client transactions: Assisting with complex client transactions, such as asset sales and purchases, capital calls, and distributions Book keeping: Reviewing book keeping, including interest calculations, accruals, sales entries, and lease incentives Tax returns: Preparing and coordinating with CA for GST, TDS & ROC returns. Audit file: Preparing audit files and assisting with statutory audits