• Maintain day to day books of Accounts in Tally • Maintain Bank Reconciliation Statement and Reconciliation of Debtors & Creditors • Maintain Journal Entry Sale, Purchase & Exp Invoice • Calculation of Monthly Sales Tax/Vat, Services Tax &TDS Filling Returns • Maintain all Accounting voucher entry • Maintain Petty Cash Book & Internal Audit: Store and Accounts Book • Maintain day to day Accounts & reporting to the senior management • Preparing sales invoices & the upkeep of an accurate accounts filing system