Check Purchase & Sales Entry on regular basis
maintain ledger of parties
prepare Bank reconciliation & Cash reconciliation report
Prepare Input for GST Returns
do monthly working on TDS ,TCS,Professional Tax
Manage accounts payable & accounts receivable
handle import documentation
idate must do regular scrutiny of Books of Accounts & update if any correction required
idate must be able to prepare Profitability reports
maintain files & documentation in accordance with accepted accounting practices
maintain accounts of 2 companies
To handle stock & provide accurate report weekly