Oversee day-to-day accounting operations
Review and manage accounts payable & receivable
Prepare and finalize monthly, quarterly, and annual financial statements
Perform and review bank reconciliations
Monitor cash flow and financial transactions
Ensure compliance with tax regulations (GST/VAT/TDS as applicable)
Handle statutory filings and audit coordination
Supervise junior accounting staff
Assist in budgeting and financial forecasting
Improve accounting systems and internal controls
