Salary and Wages entry with Reconciliation Compliance with Reconciliation Purchase Reconciliation Expenses Approval Bank Check + Reconciliation E Way Bill Preparation Delivery Charges GST and TDS Data Prepare BG Tender work format Account (SD, PG, FDR) Stock Audit (Monthly) All Expenses Review Monthly Statement of Financial Transaction Monthly Vendor Reconciliation for Supplier with Ledger RTGS and NEFT Daily Basis Report Other as per Requirement