Following works provided,
Posting journal entries, purchase bills and sales transaction
Review and verify cash up accounting at the end of the day
Bank Reconciliation at the end of the day Follow up bills payable transactions
prepare reports Inventory count and stock update
Reconciliation of GST Corporation tax, Vat
Prepare Cash flow & Profit and loss statement
Preparing monthly, quarterly and annual financial statements
Prepare GST and TDS returns and reconciliation