- All aspects of accounts payable, receivable and payment.
- Preparation of Bank, Cash, Voucher and posting of journal in the Tally Package.
- Maintenance and control of Accounting Records such as General Ledger, Inventory, daybook, Cashbook, Sales register, Purchase register etc.
- Preparation of Debtors & Creditors and outstanding list.
- Preparation of monthly Bank Reconciliation statement.
- Handling of Petty Cash and daily cash Reports
- Gst filling and reconciliation of Gstr1, Gstr 3b
- TDS Preparation and Filing
Pay: ₹20,000.00 - ₹40,000.00 per month
Work Location: In person