$40 per project
 Organizes and manages all documents such as invoices, official receipts, statements of accounts, and receiving and inspection reports.  Reconciled account balances: Accounts Receivable, Accounts Payable.  Prepared Audit documents and promptly responded to the Audit queries.  Responsible & Coordinating with the Internal & Statuary Audit Team.  Verifying and processing payment on outstanding bills.  Prepare TDS return & deposit challan on monthly basis.  Preparation of GSTR-1, 2 & GSTR3B & filling.  Handling of Petty cash imprest & settlement of bills for employees reimbursement.  Preparation of Bank reconciliation statement.  Preparation of MIS Reports  Handling and releasing the employee’s advances for operational expenses.  Managing Branch account reconciliation.