Roles and Responsibilities
- Manage accounts receivable, including processing customer payments, reconciling bank statements, and generating reports.
- Prepare and submit GST returns (GSTR-1), TDS returns (TDS return), and other tax-related documents on time.
- Conduct regular bank reconciliations to ensure accuracy of financial records.
- Generate sales invoices, purchase entries, and other relevant documents as needed.
- Maintain accurate records of all transactions using Tally Prime software.