Implementing accounting / financial systems with a view to ensure smooth accounting operations and facilitate internal financial control.
Presenting a true and fair view of the financial position by preparing and reconciliation of financial statements viz., ledgers, P&L Account and Balance Sheet
Checking Data, maintaining and scrutinizing statutory books of accounts via, journal, ledger, cash / Bank book and subsidiaries in compliance with time & accuracy norms
Handling stores, sales and purchase accounting & reconciliation of various parties.