ü Journal entries as well as Daily Accounting Entries Like Sale,
Purchase, Cash and Bank
ü Daily bank Update & reconciliation.
ü Online Payment to parties
ü Job work entry
ü Bank Reconciliation and Party Reconciliation.
ü Preparing GST Return Data
ü Ready Documents related to cases
ü Follow up Parties Regarding Payment
ü Preparing staff salary
ü Handling vendors payment
ü Knowledge of GST Registration
ü Knowledge of fileGSTR-3b GSTR-1 GSTR-2
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