• Assistance in daily accounting operations including posting journal entries, monthly reconciliations, financial statements and maintaining accounting records.
• Help prepare and reconcile monthly financial reports ensuring accuracy and completeness of financial data.
• Assist in the preparation of tax filings, including GST, TDS and other local or state taxes.
• Support internal and external audit processes by providing required documentation.
• Accurately input financial data into accounting software and spreadsheets.
• Perform regular reconciliations of general ledger accounts and process vendor invoices.