Manage day-to-day accounts payable/receivable, bank reconciliations, and ledger maintenance. Maintain accurate financial records and ensure compliance with accounting principles, GST, TDS and tax filing. Knowledge in Excel & Tally Software. Provident fund
Responsibilities: * Prepare financial reports using Excel & Tally ERP/Prime * Ensure accurate bank reconciliations * Calculate TDS & file returns on time * Manage vendor payments & reconcile accounts Provident fund