- Effective Vendor Management, Monthly Balance Confirmation from Vendor, and Reconciliation with Books of Accounts
- Knowledge of GST Returns.
- Knowledge of GSTR-2A Reconciliation.
- Knowledge of TDS.
- Bank Reconciliation.
- Knowledge of CAPAX/OPEX.
- Stock Verification and preparation of Stock Statement & Reconciliation.
- Knowledge of Payable/Receivable.
- Knowledge of Tally.
- Handling Petty Cash/Advance/Imprest Settlement and Day to Day administrative work.
- Branch Reconciliation.
- Good Communication & Negotiation Skills.