Responsibilities: * Maintain accurate books of accounts using Tally * Reconciliation of Debtors and Creditors *Reconciliation of GST returns with Books of Accounts * Reconciliation of Bank account with Books of Accounts * Prepare of TDS Calculations
Responsibilities: * Maintain accurate financial records using Tally ERP/Prime & Excel * Ensure compliance with accounting standards and company policies
Responsibilities: * Maintain accurate vendor balances * Reconciliation of payables and receivables * Reconciliation of GST returns with books of accounts * Reconcile bank statements * Prepare MIS reports