Bank Reconciliation.
Bill checking/Reviewing & booking of - Material, Service, consultancy and contractor related.
Bill checking with agreement, release payment as per due date.
Goods & Service Tax (GST): Preparation & filing of GSTR 1, GSTR 3B return on monthly basis, GSTR 9 return on annual basis, ensure timely monthly payment of GST, Reconciliation of GSTR 2A& Credit Ledger, checking of services under Reverse charge mechanism, billing under GST compliance, debit note, credit note etc