- Bank reconciliation
- Receipts and payments voucher entries
• Making Tax Invoice in Tally.
• Payments follow-up on regular basis.
• Making Purchase, Receipt & payment voucher entries.
• Maintaining receipts & payments of daily transactions.
• Debit Note/Credit Note.
• Maintains/updates vendor information.
• Ensuring that all related work is being done on daily basis.
• Bank Reconciliation in Tally
• Preparing Sales report at the end of each month.
• Basic VAT Calculations.
• Preparation of VAT Summary for quarterly return
• Making PO’s & Sending Quotation to the parties.
• Basic Knowledge of GST.
Interested candidates can contact on below given number.
Contact No.- 7738426939
Email id- [HIDDEN TEXT]