Responsibilities of the candidate.
Maintain day to day books of Accounts in Tally,
Maintain Bank Reconciliation Statement and Reconciliation Of Debtors & Creditors.
Maintain Journal Entry Sale, Purchase & Expense Invoice.
Calculation and preparation of Monthly GST , TDS , Payroll etc.
Maintain all Accounting voucher entry.
Maintain Petty Cash Book & Internal Audit : Store and Accounts Book.
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