Responsibilities: * Maintain day book & petty cash books * Tally * Reconcile bank statements monthly * Ensure accurate GST compliance * Process purchase, sales, vouchers gst Filling Tds Filing Stock update Journal Entry E invoicing Eway Bill
Responsibilities: * Maintain day book & petty cash books * Tally * Reconcile bank statements monthly * Ensure accurate GST compliance * Process purchase, sales, vouchers gst Filling Tds Filing Stock update Journal Entry E invoicing Eway Bill