Record and Review the day to day accounting work for the assigned clients.
Finalization of Accounts and bookkeeping of Accounting.
Preparing Financial statement like Balance sheet & P&L, Debtors & Creditors summary, Purchase & Sales summary and Bank Reconciliation.
Financial Reporting and Analytics.
Handling day to day queries of clients and operations, communicate with client using email and/phone.
Work with result-oriented approach.
Training of new team members as and when required.
Month End closing reports as per set deadlines.