Daily Bank Reconciliation, invoice generation, Expense booking, Voucher booking, MIS, Reporting to management, ENTRY IN TALLY, Maintain general ledger, - Prepare and review invoices, Reconcile bank statements.
Daily Bank Reconciliation, invoice generation, Expense booking, Voucher booking, MIS, Reporting to management, ENTRY IN TALLY, Maintain general ledger, - Prepare and review invoices, Reconcile bank statements.