

Finance Officer managing journal entries, accounts payable and receivable, bank reconciliations, payroll processing, and month-end closing. Produces accurate financial reports, maintains audit-ready records, and supports compliance with VAT, TDS, and accounting regulations. Strengthens daily control over cash flow and reporting through consistent ledger review and reconciliation.
Accounting operations
Bank reconciliation
Accounting software
Payroll processing
Accounts payable and receivable
Tax compliance
Month-end closing
Financial reporting
Audit support
VAT and TDS filing
ERP implementation