Finalization of Client’s Financial Statements.
Maintained integrity of general ledger, including the chart of accounts.
Computed taxes owed by applying prescribed rates, laws and regulations.
Generated financial statements.
Tax Compliance- GST,TDS and PT Return filing
Preparation of Bank Reconciliation Statement from Bank book to Bank Statement and vice versa.
Assisted in the Statutory, Internal and Tax audit
Maintained fixed asset module and calculate and record monthly depreciation expense.