
1.Managing accounting operations, accounting close, reporting and reconciliations
2.Calculation of employee incentives monthly
3.Debtor and creditors ledger Reconciliation
4.Bank Reconciliation and other banking functions
5.Inter Branch Reconciliation.
6.Preparing monthly MIS report
7. Handing Statuary (paying TDS & TCS on time and filing GSTR 1 & paying GSTR 3B on time)