A) Bank Reconciliation, Tally, GST, TDS,
Income Tax, Book Keeping)
B)Managed daily bookkeeping functions
with attention to accounts receivable,
accounts payable,banking reconci-
liation and disbursements.
C)Checked figures, postings and docu-
ments for correct entry, mathematical
accuracy and propercodes.
D)Applied mathematical skills to calculate
totals, check figures, and correct prob-
lems with physicaland digital files.
D)Prepared month-end closing entries for
detailed reporting and recordkeeping.
E)Sorted documents, matching suppo-
rting invoices to procurement docu-
ments and verifyinginvoices for pay-
ment.
F)Performed bookkeeping and accou-
nting consulting services.