Responsible for managing comprehensive accounting operations to ensure accuracy and regulatory compliance. Oversee daily financial transactions, including accounts payable/receivable and general ledger maintenance. Prepare and file tax-related documents such as GST, TDS, ESI, and PF, ensuring timely government deposits. Coordinate with banking institutions for fund transfers (RTGS/NEFT), bank reconciliations, and cash/credit limit management. Conduct internal audits of purchase, sales, and cash books to uphold data integrity and support informed financial decision-making.