• Finalization of Financials, Audit handling, Income tax filling, TDS, VAT, CST, Service Tax knowledge.
• Maintain cash & bank transactions. Prepare Bank reconciliation statements.
• Posting daily cash and bank transactions in accounting so...
Collating, Checking and Analysing Spreadsheet Data.
examining Company Accounts and Financial Control Systems.
gauging Levels of Financial Risk Within Organisations.
checking that Financial Reports and Records are Accurate and Reliable.