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Processed sales invoices to ensure timely and accurate customer billing
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Recording cash transactions in tally
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Managed inventories, resulting in optimal stock levels and decreased wastage
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Monitored notifications for overdue accounts to initiate immediate action
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Sales order and purchase management
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Bank Reconciliation Statements (BRS) on monthly & quarterly basis
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Matching bank statements with ledger balances
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Identification & resolution of unreconciled entries
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Experience with Tally / TallyPrime bank reconciliation