Issue vendor payments (NEFT/RTGS/Cheques) Perform monthly bank reconciliations Follow up on outstanding receivables/payables Prepare TDS calculations and ensure timely filing Handle monthly GST working and returns
Issue vendor payments (NEFT/RTGS/Cheques) Perform monthly bank reconciliations Follow up on outstanding receivables/payables Prepare TDS calculations and ensure timely filing Handle monthly GST working and returns