

Detail-oriented Accountant experienced in financial reporting and compliance. Achieved accurate financial documentation through expertise in bank reconciliation and GST compliance while supporting financial management and reporting. Delivered value by ensuring precision in financial record-keeping and collaborating effectively with teams to meet business needs.
Account reconciliation
GST Return (R1,2A,2B,3B)
TDS Calculation and Deposit
Bank Reconciliation
Voucher Post (Journal,Sale,Purchase,Payment)
E-Invoicing
E - Way Bill
Bills Receivable & Payable
Trial Balance
Trading Account
Profit & Loss A/C
Balance sheet
Fund Management