Day to day accounting transaction in tally 9 Bank reconciliation, Sales, Purchase & other Invoices . Tax Compliances GST TDS Co coordinating with clients for the payments, documents, ledger. Maintaining sales & purchase files date wise, arranging all account related documents systematically. Making payment to vendors Handling petty cash Maintaining salary register, salary slips and arranging data for PT GST reconciliation with portal Maintaining expense register Other day to day accounting work