1. Shall be responsible for Managing all accounting transaction on daily basis.
2. Shall be responsible for Bank reconciliation on daily basis as per all bank statements.
3. Shall be responsible for making cheques for creditors term’s & company policy. 4. Shall be responsible for submit cheques in bank of debtors on daily basis.
5. Shall be responsible for prepare request letters or replies for any banking quires.
6. Shall be responsible for Computing of monthly GST/ TDS.
7. Shall be responsible for Ensure timely bank payments.
8. Shall be responsible for Compute taxes and prepare tax return.
9. Shall be responsible for Bank Reconciliation.