Responsibilities: * Manage and maintain Financial records, including bank reconciliation and journal entries. * Preparing Sales Invoices. * Maintaining Petty cash vouchers. * Preparing TDS voucher for payment. * Check GSTR-2A with Tally
Responsibilities: * Manage and maintain Financial records, including bank reconciliation and journal entries. * Preparing Sales Invoices. * Maintaining Petty cash vouchers. * Preparing TDS voucher for payment. * Check GSTR-2A with Tally