

Senior Accountant managing day-to-day accounting, Tally Prime entries, GST compliance, and bank reconciliation across automotive operations. Maintains books of accounts, cash and bank transactions, inventory-related accounting, and financial documentation with steady control over routine reporting. Supports payroll and records maintenance to keep finance activity organized and audit-ready.
Tally Prime
GST Return Filing
Bank Reconciliation
Payroll Management – 100 Staff
Financial Record Maintenance
Inventory Management
Cash & Bank Transactions
Vendor & Customer Accounts
Accounting Documentation
MS Office