Strenght and Skills: * Maintaining Day Book: Handling accounts, Trial balances, General Ledgers, handling P/L account, and balances. * Maintaining Accounts Receivables/Payables Registers. * Preparation of Bank Reconciliation statement. * Maintaining Sales/Purchase Registers. * Preparation of Stock Register: Analysis of stock fluctuations, Preparation of stock summary. * Preparation of Cheque issue/Cheque collection registers. * Preparation of VAT TAX Returns. * Preparation of financial statement of various concerns: Hospitals, Manufacturing concerns, Non-Profit organizations, Trading concerns, Supermarkets etc. * Ratio analysis.