* Manage and support *month-end and year-end closing activities*, including journal entries, accruals, provisions, and closing schedules. * Prepare and review *Trial Balance, Profit & Loss Account, Balance Sheet, and supporting schedules*. * Support preparation of accurate and timely *financial statements and management reports*. * Handle and review *intercompany accounting and reconciliations*. * Prepare *MIS reports and financial analysis* to support management decision-making. * Coordinate with internal and external stakeholders to resolve accounting and reporting issues. * Support *statutory audits, tax audits, and financial audits*. * Ensure compliance with applicable *accounting standards, GAAP, taxation, and regulatory requirements*. * Assist in *budgeting, financial planning, and performance analysis*. * Handle *GST and TDS compliance*, including reconciliations, return preparation, and timely filings. * Support income-tax-related activities, including preparation and review of tax returns. * Identify accounting and process issues and support improvements in financial reporting and controls.