Dedicated accountant with expertise in ledger management, compliance, and financial documentation.
Extensive use of Tally Prime for posting entries, reconciliations, and compliance activities.
Utilized MS Office tools for documentation, reporting, and communication tasks.
Performed bank statement, sales, and purchase reconciliations to ensure data accuracy.
Ensured E-WAY Bill and E-INVOICE compliance, adhering to legal standards.
Om enterprises
Reconciliation of Bank Statement at the end of month., Reconciliations of Sales and Purchase., E-WAY Bill and E-INVOICE compliance., Salary entries, Posting entries of purchase, sales, payment, receipt voucher in Tally, Maintain accounts Receivable and Payable ledgers Checking, Checking stock...
S.S.C
H.S.C
B.COM
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