Working on Bank feeds on daily basis. Preparing multiple clients reconciliation. Posting Journal entries. Payroll entries. Invoice booking. Categorizing transactions.. Doing month end close, preparing reconciliation. Booking of sales, purchase, Imprests etc. Revenue Reconciliation & maintaining day book.. Travel Expenses - checking all the travel expenses of employees and reimbursement of the same through RTGS/ NEFT / Cheques.. Preparing of credit note and debit note of monthly & quarterly basis of all sundry debtors.. Monthly closing