please call 8595768102
Responsibilities -
o Bank Reconciliation & Party Reconciliation.
o Supervision of daily Accounts activity (Purchase/Sale/Cash/Bank Book)
o Preparation cheque of Suppliers, Employee, and RTGS/NEFT. une
o Maintain inward and outward register.
o Credit/Debit Note Issued against Parties & Suppliers.
o Maintenance of all day to day transaction in Tally.
o Handling Petty cash and Banking operations.
o Generated UP EWAY Bill & Central EWAY bill.
o Generated Challan for Job-Work.
o Preparation GST Tax Invoice.