Daily accounting entries in Tally Purchase, sales, stock & service entry GST working (GSTR-1, GSTR-3B preparation) Bank reconciliation Vendor payment follow-up & documentation Petty cash handling Coordination with audit team & management reporting
Daily accounting entries in Tally Purchase, sales, stock & service entry GST working (GSTR-1, GSTR-3B preparation) Bank reconciliation Vendor payment follow-up & documentation Petty cash handling Coordination with audit team & management reporting