Maintain day-to-day accounting records in Tally / Tally Prime Handle Accounts Payable & Accounts Receivable Prepare and issue invoices to customers Perform bank reconciliation daily/weekly Manage GST filing, TDS calculation & returns Prepare Balance Sheet, P&L and monthly financial reports Track company expenses and maintain proper documentation Manage petty cash and vendor payments Coordinate with the sales, warehouse & operations teams for stock entries and payment follow-up Maintain vendor and customer ledgers Ensure timely cheque/online payment processing Assist in audits and provide required data