Writing all books of Accounts – Purchase/Sales, Cash/Bank Book, Journal, Preparing Vouchers, Debit/Credit Notes, Ledger Scrutiny, Supplier Balance Confirmation, Bank Reconciliation Statement, Trial Balance, Profit /Loss Account/Balance Sheet, Handling Audits.
Handling Petty Cash Account.
Online Payment of TDS, P. Tax and Sales Tax
Filling of eTDS Return, Profession Tax Return
Compilation of necessary data for Audit, Sales Tax, TDS, Income Tax, Professional Tax and CHEMEXCIL / ECGC .
Assistance in Scrutiny of Income Tax, Sales Tax & [login to view URL] and attending the case.
Compilation of necessary data for ISO Audit.
Keeping record of all payments to be received and issuing cheques etc.
Filing Monthly statements, Renewal of Policy, obtaining cheques etc.