Prepare a income and expenditure and balance sheet in Financial year GST due diligence, Implementation, consulting & Advisory work forVarious companies Monitoring & manage the day-to-day accounting operations for various company and Handling end to end accounting activities. Administer all Bank Transactions and Oversee Data Recording Procedures Monthly. Collate Bank Statements on Monthly Basis. Working knowledge of General Ledger, Accounts Receivable and payables. BankingReconciliation. Manage Funds management & banking fund flow, ensuring timely payments andbank reconciliation regularly and surveys on various projects & managing clients