1. Keeping up to date accounting Books in Tally/ any other accounting software.2. Processes payments and documents such as invoices, journal vouchers, employee reimbursements.3. Managing Accounts payable & Accounts receivable processes4. Booking Sales and track timely receipt from Customers5. Bank Reconciliation, vendor & Customer Reconciliations6. Submission of Daily Sale, Purchase Report7. Managing TDS & GST Compliances8. Assisting Manager in MIS and any other additional accounting & reconciliation work from time to time.9. Team Management