Preparing Stock Details
Update Brokers Ledger
Update Stock Purchase And Sales Entry Like BSE Cash, NSE Cash And F & O Update Mutual Fund Investment And Redemption In Mutual Fund Preparing Of GST Invoice
Update GST Working And TDS Working With Online Payment
Day To Day Cash And Bank Transaction
Maintain Of All Type Of Accounting Vouchers Entry
Enter Posting Of Purchase, Sales, Payment, Receipt Collection And Journal Voucher Verification Of Bills And Reconciliation Of Total Turnover
Bank, Debtor & Creditors Reconciliation
Maintain Cash Trans & Petty Cash Book, Preparing Cash Day To Day Cash & Bank Transactions
Preparing Outstanding List Of Debtor & Making Payment Follow
Reconciliation Of Bank Statement At The End Of Month
Handling Income Tax Audit And Scrutiny
Prepare Capital Gain Of Stock And Mutual Fund