Enter sales, purchase, receipt, payment, and journal voucher entries in Tally PRIME.Maintain day-to-day accounting records and financial transactions.Prepare and update ledgers, stock records, and invoices.Reconcile bank statements, supplier accounts, and customer balances.Profit & Loss StatementGST reportsInventory summaryVerify data accuracy and correct discrepancies.Assist in preparing monthly/annual financial summaries.Maintain confidentiality of company financial information.Support auditors during internal and external audits.Maintain Site Employee Expense Record Month to Month