Tally Data Entry: Accurately enter daily transactions, including sales, purchases, receipts, payments, and journal vouchers in Tally.
Bank Reconciliation: Perform weekly/monthly bank reconciliation statements (BRS) in Tally.
Accounts Payable/Receivable: Manage vendor invoices, prepare bills, and track outstanding payments and receivables.
Statutory Compliance: Assist in GST return filing, TDS deductions, and other tax compliances using Tally.
Financial Reporting: Assist in preparing trial balances, profit and loss statements, and balance sheets.
Documentation: Maintain systematic filing of invoices, receipts, and supporting documents.