Data Entry & Maintenance: Recording daily sales, purchases, payments, and receipts in Tally.
Bank Reconciliation: Reconciling bank statements with Tally records.
Taxation & Compliance: Handling GST billing, invoicing, and TDS deductions.
Financial Reporting: Preparing Profit & Loss statements, balance sheets, and daily cash books.
Accounts Payable/Receivable: Managing vendor payments and customer receivables.