Job description
Job Description Manage daily accounting entries in Tally, including sales, purchase, journal, and bank transactions • Handle bank reconciliations and ensure proper recording of all banking transactions • Ensure accurate and timely GST filing and compliance (GSTR-1, GSTR-3B, annual returns, etc.) • Prepare and file TDS returns and ensure TDS compliance for vendor payments • Coordinate with internal teams and external auditors for smooth financial audits • Maintain books of accounts and assist in…