1. Handling Day-to-day Accounting Process & Financial Accuracy.
2. Purchase and Sales Entry.
3. Bank Reconciliation Statement.
4. Preparation of GSTR-1 and 3B data monthly and quarterly basis within due date of filling.
5. Reconciliation of GSTR 2B with Input Credit register.
6. Managing Statutory Compliance like GST payment.
7. Preparation of Annual Returns like GSTR-9 & 9C.
8. TDS deduction and remittances, TDS returns filling.
9. Paying professional tax.
10. Finalization of company accounts, preparation of Balance Sheet, Profit & loss A/c using Trail Balance.
11. Calculated Tax, prepare and submitted returns of Individual and Corporate.
12. Managed the preparation and filling of payroll taxes, compliance rate and avoiding any penalties or fines.
13. Assisted with audit, ensuring compliance with all regulations.
14. Managed the reconciliation of all financial accounts, identifying and resolving discrepancies in a timely manner.
15. Expense Invoice Booking.
16. Managing cash expenses on daily basis.
17. Coordinating Auditors in Finalization of Balance Sheet.