�� Day to day Sales Billing
�� Day to day Purchase Entry
�� Daily payments inward and outward entries
�� Monthly Bank reconciliation
�� Monthly GST Compliance Preparation and Processing
�� Monthly TDS & TCS Preparation and Processing
�� Weekly Voucher Entries of Cash and Bank Balances
�� Quarterly stock auditing and tallying
�� Tracking and co-ordination with Manager for day to day entries and queries
�� Fortnightly preparation for receivables and payables sheets
�� Etc. of Business Accounting & Personal Accounting
�� Others (As & when required)