Mumbai
Maintain books of accounts using Tally Prime and accounting software. Record day-to-day accounting transactions and prepare ledger reconciliations. Perform bank, vendor, and customer account reconciliations. Prepare and file GST returns, TDS returns, and Income Tax Returns. Assist in the preparation and finalization of financial statements. Support statutory audits, tax audits, and internal audits. Prepare MIS reports and financial reports as required by clients.