Day-to-day accounting entries: Purchase, Sales, Expenses Bank Reconciliation TDS working & challan preparation Ledger scrutiny & Vendor Reconciliation Petty Cash handling and reporting Preparing data for Monthly P&L and Balance Sheet
Day-to-day accounting entries: Purchase, Sales, Expenses Bank Reconciliation TDS working & challan preparation Ledger scrutiny & Vendor Reconciliation Petty Cash handling and reporting Preparing data for Monthly P&L and Balance Sheet