- Preparing journal entries, complete general ledger operations
- Preparing day to day cash and bank statements and weekly checking and updating office work as per requirement
- Prepared and organised paperwork and other materials as needed for meetings, conferences and Expenses report
- Maintaining daily Sales , Purchases and expenses of clients
- Handling financial statements of various individuals, firms and companies
- Preparing Excel and tally
Maintaining Cash transaction & Petty cash book
- Preparing Day to day cash and bank transactions & weekly checking and updating, office work as per requirement.