Description
Performing Reconciliations of various ledger accounts for GST Compilations.
Posting of GST entries & reconciling GST & various other statutory required
accounts maintained under Statutory body.
Assisting and working with auditor during Internal.
Bank reconciliations, Cash handling, Petty cash, Preparing Purchase and Sale
Bills.
Scrutiny and reconciliation of various ledger accounts.
GST, GST Assessments (GSTR-1, GSTR-2A&GSTR-3B), Returns, Professional
Tax Compliances.
Internal Audits.