- To maintain of purchase, sales, payment, receipt & journal voucher. •Debtors & Creditors Reconciliation •Preparing outstanding list of Debtor & making Payment follow-up •Day to day cash & bank transactions,Reconciliation of Bank Statement at week. •To handle day to day activities related to Purchase, Sale, Payment, Receipt, Journal Voucher. •To Maintain Bank Statement & Reconciliation of bank statement. •Accounting Up to Finalization. •GST Return- GSTR 3B, GSTR 1, •TDS Filing & Return.
Knowledge of GST , Tax , Good Communication Skill , Tally ERP .