1 Daily Bookkeeping & Data Entry
- Transaction Recording: Accurately inputting sales, purchases, receipts, and payments into Tally.
2. Reconciliation & Management
- Bank Reconciliation: Matching bank statements with Tally records to identify and resolve discrepancies.
- Accounts Payable/Receivable: Tracking incoming and outgoing payments to maintain healthy cash flow.
- Inventory Tracking: Using Tally's stock features to manage inward and outward inventory movements.
3. Taxation & Compliance
- GST Compliance: Computing and managing Goods and Services Tax (GST) to assist with tax returns and filings.
- TDS & Payroll: Calculating and processing employee salaries, Provident Fund (PF), and Tax Deducted at Source (TDS).
4. Financial Reporting & Auditing
- Report Generation: Producing critical financial statements like Balance Sheets, Profit & Loss (P&L) Statements, and Trial Balances.
- Audit Support: Assisting external and internal auditors by compiling required financial documents.
- Invoice Generation: Creating, processing, and tracking commercial invoices and bills.
- Voucher & Ledger Maintenance: Generating payment vouchers, receipts, and managing general ledgers.
Pay: ₹15,000.00 - ₹20,000.00 per month
Benefits:
Work Location: In person