Must have hands-on experience in Tally Prime
Maintain complete books of accounts and daily accounting entries
Handle sales, purchase, expense, and journal entries
Manage GST accounting, including returns and reconciliations
Generate E-Invoices and E-Way Bills
Perform bank reconciliation statements (BRS)
Handle payments, receipts, and outstanding follow-ups
Maintain proper export documentation
Coordinate with dispatch and logistics for timely deliveries
Ensure accuracy and compliance with accounting and statutory requirements