Maintaining Daily Bank Reconciliation Maintaining Records like vouchers, bills, receipts & payment Maintaining Day-To-Day records of transactions in Accounting Software (Tally). Making Cheques & Checking Vouchers Managing AR & AP of the organisation Finalisation of Accounts Handling petty cash Preparation of TDS Statements Preparation of GST reports and return filing Supervise Executives preparing Sales Bill Supervise executives doing Purchase and sales entry