Verifying bills & reconciliation
of vendors/customers
Verifying & recording employee
reimbursement expenses
Perform daily entry of
accounting in Tally & MS Excel Spreadsheets
Reconciliation of Bank Statement
at the end of the month
Responsible for documentation
Responsible for maintaining
Personal accounts of Company Directors
Responsible for Calculation
& Application of C-Form
Keeping Track of and
calculation of day to day Investment related activities of Directors &
maintain records in Tally & MS Excel Spreadsheets