Knowledge of Tally , MS Office .
Knowledge Of Banking & Finance
Preparation And Maintenance Of All Types Of Vouchers, Sale & Purchase Register, Cash Book, Bank Book, Journal & Ledger.
Preparation Of Day To Day Funds Position, Details Of Receivables & Payables And Furnishing Daily Reports/ Statement Of The Same To The Management.
Reconciliation of Client Account /Broker Account /Exchange Account
Preparation Of Gst Return, Income Tax, TDS & TCS Return On Monthly, Quarterly & Annual Basis.
Preparation Of Cases With All Statutory Documents.
Co-Ordination In Handling Income Tax Cases And Other Statutory Activities.
Preparation Of Bank Reconciliation Statement.
Preparation Of Sale & Purchase Reconciliation As Per Return With Financial Books.
Preparation of capital Gain sheet related to shares
Reconciling Of GST Return V/S Books
Reconciling Of TDS Return V/S Books
Preparing/Maintaining/Evaluating & Submitted Mis Reports As Required By Management.
Finalizing Trading And Profit & Loss Accounts On Monthly, Quarterly And Annual Basis.
B.Com
2 Years
Rs.50,000/- to Rs.150,000/-p.a.