Tally Accounting Software Management: Manage and maintain financial records using Tally, ensuring accurate entry of data, proper classification, and timely updates of accounts.
Bookkeeping and General Ledger: Maintain the general ledger, handle journal entries, process accounts payable and receivable, and reconcile bank statements.
Financial Reporting: Generate and review financial reports such as balance sheets, profit and loss statements, and cash flow reports, ensuring all information is up to date and accurate.
Invoicing and Billing: Oversee invoicing and billing processes, ensuring that all sales and purchases are recorded correctly within Tally.
Tax Compliance: Ensure tax filings (GST, TDS, etc.) are accurate and timely, and help prepare tax-related documents for audits.
Audit Support: Assist in internal and external audits by providing accurate financial documentation, reports, and supporting data as needed.
Account Reconciliation: Regularly reconcile accounts, ensuring all transactions match bank statements and other financial records.
Inventory Management: Monitor and manage inventory and stock accounting within Tally, ensuring accurate recording of stock purchases, sales, and adjustments.