Responsibilities: Manage customer accounts with Tally & GST expertise Ensure accurate bank reconciliations Prepare tax invoices and maintain day books Input vouchers, purchase orders, sales entries, cash vouchers Annual bonus Provident fund
Responsibilities: Manage customer accounts with Tally & GST expertise Ensure accurate bank reconciliations Prepare tax invoices and maintain day books Input vouchers, purchase orders, sales entries, cash vouchers Annual bonus Provident fund