Maintain day to day books of Accounts in Busy Win,
Maintain Bank Reconciliation Statement, Maintain Journal entry, Sale, Purchase & Exp.Invoice,
To Handle accounts functions and doc
umentation, Supervision of day to day Accounting and data entry, Preparation of Bank Reconciliation,
Preparation of Profit & Loss Account, Trial Balance, Balance Sheet, Monitoring and Control of Debtors & Creditors
Handling books of Accounts and Excise relating matters, Maintained Store Stock and updation of store books, Reporting to Finance Team Manager with all the reports pertaining to Excise.