Ø We are Work on the Tally and Maintaining the All Types of Entries like a Purchase, Sales, Expenses, Petty Cash, Journal Entries in Tally.
Ø Handling the Bank Reconciliation and Bank Statement on Daily Basis and also Track this Records in the Tally and Books of Accounts in the Organization.
Ø Prepare the GST Working Data and Analysing the MIS Reports.
Ø Update the Internal Balance in the Tally and Check the Transactions for the Books of Accounts.