Assist in day-to-day bookkeeping and accounting activities.
Maintain accurate records of receipts, payments, sales, purchases, and expenses.
Prepare vouchers, invoices, and journal entries in accounting software.
Support with bank reconciliations and ledger scrutiny.
Assist in GST, TDS, and other tax-related filings.
Coordinate with vendors, clients, and internal teams to resolve accounting discrepancies.
Provide support to the senior accountant during audits and financial closing.
Maintain organized documentation for accounts and statutory compliance.