Job descriptionManage and oversee daily accounting operations including ledger management, journal entries, bank reconciliation, and month-end / year-end closing.Prepare, review, and analyze financial statements and reports to ensure accuracy and compliance with applicable standards.Maintain compliance with all statutory and regulatory requirements including GST, TDS, PF, ESI, Income Tax, and other financial regulations.Monitor cash flow, budgeting, forecasting, and financial planning to optimize resources.Coordinate with auditors during internal and statutory audits, ensuring smooth audit processes and compliance.Manage accounts payable and receivable to ensure timely processing of invoices and payments.Handle payroll processing, salary disbursement, and maintain employee financial records.Liaise with banks, tax authorities, and other regulatory bodies for financial matters.Develop financial policies and procedures to improve operational efficiency.Provide strategic financial input and recommendations to senior management for business growth.Supervise and mentor junior accounting staff, ensuring accuracy and timely completion of accounting tasks.