Handle day-to-day accounting, bookkeeping, and reconciliations.Manage accounts payable/receivable, bank transactions, and cash flow.Prepare monthly and annual financial statements and MIS reports.Ensure compliance with GST, TDS, PF, ESI, and other statutory requirements.Coordinate with auditors, banks, and vendors.Oversee payroll processing and employee settlements.Support management with budgeting, financial planning, and cost control.