- Data Entry & Vouchers: Recording daily sales, purchases, receipts, payments, and journal entries directly into the software.
- Bank Reconciliation: Matching the company's bank statements with internal Tally ledgers to clear discrepancies.
- Ledger Management: Creating and maintaining distinct accounts for vendors, clients, assets, and liabilities.
- Tax Compliance: Computing and processing statutory returns including GST, TDS, and TCS.
- Financial Reporting: Generating real-time financial statements like Balance sheet
Pay: ₹8,531.55 - ₹25,000.00 per month
Work Location: In person